Indices are mixed but Nasdaq is green, ahead of earning report from GOOG.
S&P 500 @ 2470.55, low 2466.32, high 2472.04
Internals are negative
Oil UP 61 cents
Gold Down 40 cents
Canadian $ UP 31 tick @ .7494....2 year high against US$
VIX UP 2.99% @ 9.64
Portfolio AMD AAPL BIDU BBRY FB MOMO OCLR SWIR TWTR WB
Most stocks are UP
@ 2.13 following are red :
TWTR VRX MCHP CTRP IAG KGC SWKS NVDA MU
CY GG UA FCX ABX COH LEN MSFT EBAY YELP
FSLR GS TRIP LULU SNAP MCD AEM CRUS
KORS NKE OPK CMG AAL X M ....
BLOG does NOT give buy or sell.
Saleem
2 comments:
Hi Saleem,
Last Week
My portfolio: +1.03% (YTD: +24.94%)
Winners: PETQ RCL FB MJCO
Losers: ZYNE COUP
Current Holdings: RCL ORCL COUP ZYNE PETQ MJCO, cash 51.9%
I've sold anything I feel is vulnerable to pullback due to high expectations of earnings even if I expect a good number. We'll see how the strategy works out :)
Stocktrader
Hi Stocktrader,
24.94% YTD is outstanding......
Last week for me was +2.46%
slowly catching up on my 2 bad trade....
Saleem
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