Indices are lower due to lower oil and financials, Semiconductors are performing well. Nasdaq made a new all time high intraday.
S&P 500 @ 2372.84, low 2371.40, high 2379.55
Internals are negative.
Oil Down 45 cents
Gold UP $3.50
Canadian $ Down 4 tick @ .6648
VIX UP .89% @ 11.38
Portfolio AMD BIDU CNQ CY OCLR TECK
Most stocks are lower
@ 2.01 following are green :
AMD CY TECK BABA MU NTES SWKS QRVO
NVDA AMZN ABX LVS AAPL NFLX DNKN
FEYE YELP SNAP CTRP WYNN MLNX
SWIR AEM CRUS NKE LRCX CNX...
BLOG does NOT give buy or sell.
Saleem
2 comments:
Hi Saleem,
I finally was able to compile the stats of the last two weeks (only recorded the raw data while on vacation). Two weeks ago the portfolio was -1.71% vs smaller losses for most indices except the Russell 2000 at -2.1%. Last week the portfolio was +0.97% versus smaller gains for the indices except the Russell 2000 at +1.9%. This brings the YTD performance of the portfolio to +8.41%, beating the S&P 500 and Russell 2000, but lagging the NASDAQ by just over 1%.
Good gainers last week were OCLR(+11.8%) HUN(+5.1%) and AKS BABA CHK PI Z all +2-3%. ZYNE(-6.4%) was the biggest decliner with HBAN(-2.7%) also falling.
Current portfolio after today's moves: HUN BABA PI RCL HBAN DAL Z GM AKS ZYNE CHK MJCO, cash 21.3%
Stocktrader
Hi Stocktrader,
Thanks for updating your YTD portfolio performance, it is very good.
I recovered nicely last week after 3 weeks of sub par performance.
On YTD basis i am @ +4.00%.......well behind your 8.41% YTD
Saleem
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