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Performance Data:

Long/Short Alerts for 2016:

Long/Short Alerts for June July August 2016:

June July and August Performance
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/1 MA $96.20 $95.83 -.37
6/7 CVS $96.81 $93.97 -2.84
6/9 NKE $54.42 $54.30 -.12
6/22 BA $132.87 $126.95 -5.92
7/8 SPY $211.68 $215.50 +3.82
7/26 KBE $31.89 $31.11 -.78
7/27 V $78.52 $80.15 +1.77
8/5 APH $59.79 $61.55 +1.76
8/11 STI $42.08 $43.71 +1.89
8/30 UPS $109.44 $108.63 -.81

4-2 on all closed plays +/- $1.00 or better during the months of June, July and August.  Dividends paid on V and STI of .14 and .26 cents during the period respectively.. 

Long/Short Alerts for May 2016:

May Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/2 PII $99.06 $93.27 -5.79
5/2 DG $82.41 $81.85 -.56
5/6 SPY $205.48 $205.66 +.18
5/10 IYG $84.52 $85.60 +1.08
5/16 PNRA $211.40 $207.43 -3.97

1-2 on all closed plays +/- $1.00 or better during the month of May. 

Long/Short Alerts for March/April 2016:

March/April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/8 QQQ $104.88 $104.47 -.41
3/14 UNP $81.32 $84.62 +3.30
3/14 COST $152.98 $152.23 -.75
3/22 CHKP $83.18 $82.67 -.51
3/28 STI $36.88 $38.72 +1.84
3/29 DE $80.40 $78.56 -1.84
4/1 GS $158.25 $154.00 -4.25
4/12 IBB $276.07 $281.88 +5.81
4/13 PNRA $208.60 $215.50 +6.90
4/20 CTSH $59.83 $59.75 -.08
4/22 CVS $101.25 $102.90 +1.65
4/26 DKS $46.19 $46.05 -.14
4/27 ROST $57.79 $54.63 -3.16

5-3 on all closed plays +/- $1.00 or better during the months of March and April. 

Long/Short Alerts for January/February 2016:

January/February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/26 IYT $121.68 $122.94 +1.26
2/12 QQQ $97.44 $101.07 +3.63
2/19 AAPL $96.45 $96.03 -.42
2/24 SPY $192.07 $193.81 +1.74

3-0 on all closed plays +/- $1.00 or better during the months of January and February.

Long/Short Alerts for 2015:

Long/Short Alerts for December 2015:

December Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/4 AAPL $118.96 $116.02 -2.94
12/15 IJH $139.30 $140.14 +1.18
12/29 JPM $66.39 $63.49 -2.90

1-2 on closed plays +/- $1.00  during the month of December.  IJH and JPM paid dividends of .69 and .44 during the month.  19-20 on all closed plays for 2015.  The SP 500 was down .73% for the year for comparison.

Long/Short Alerts for October/November 2015:

October/November Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/8 DIA $170.07 $177.10 +7.03
10/15 IYT $146.48 $146.19 -.29
10/29 FDX $156.30 $158.98 +2.68
11/18 SPY $206.07 $208.54 +2.47

3-0 on closed plays +/- $1.00 or better than 3% during the month of October and November.

Long/Short Alerts for August/September 2015:

August/September Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/10 AAPL $118.18 $114.35 -3.83
8/10 GILD $116.42 $114.00 -2.42
8/13 HON $105.31 $103.52 -1.79
8/14 CME $97.95 $95.70 -2.25
8/17 WBA $92.46 $90.05 -2.41
9/30 SPY $190.99 $189.40 -1.59

 0-6 on closed plays +/- $1.00 or better than 3% during the month of  August and September.  Dividend paid on HON .52 during the period.

Long/Short Alerts for June/July 2015: 

June/July Performance Date
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/5 AAPL $128.69 $131.71 +3.02
6/11 UTX $118.24 $113.51 -4.73
6/23 MCK $235.67 $227.89 -7.78
7/15 BAC $17.71 $17.71 0.00
7/16 RAD $8.89 $8.04 -.85
7/21 DENN $11.67 $12.09 +.42
7/24 SPY $209.19 $208.22 -.97
7/31 UNH $121.63 $123.11 +1.48

3-3 on closed plays +/- $1.00 or better than 3% during the month of June and July.  

Long/Short Alerts for May 2015: 

May Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/7 AAPL $125.58 $129.58 +4.00
5/8 STI $41.50 $42.65 +1.15
5/12 AME $53.25 $53.15 -.10
5/13 RAD $8.05 $8.38 +.33
5/27 MSFT $47.17   $46.54 -.63
5/27 PPG $114.48 $118.00 +3.52

4-0 on closed plays +/- $1.00 or better than 3% during the month of May.   STI paid a dividend of .24 reflected in our cost basis and PPG split 2 for 1 during the month.  

Long/Short Alerts for April 2015: 

April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/7 MA $88.29 $87.35 -.94
4/8 ESRX $84.92 $88.23 +3.31
4/10 TMO $134.21 $131.11 -3.10
4/22 SPY $210.07 $209.75 -.32
4/22 WFC $54.76 $55.87 +1.11
4/24 JNJ $101.32 $103.95 +2.63
 

3-1 on closed plays +/- $1.00 or better during the month of April.

Long/Short Alerts for March 2015: 

March Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/2 GD $140.27 $137.11 -3.16
3/9 GS $188.44 $184.00 -4.44
3/12 AAPL $123.98 $123.76 -.22
3/19 AAPL $127.99 $124.20 -3.79
3/20 UTX $119.61 $117.65 -1.96
3/30 QQQ $106.66 $105.80 -.86
3/30 AAPL $125.55 $129.80 +4.25

1-4 on closed plays +/- $1.00 or better during the month of March. 

Long/Short Alerts for February 2015: 

February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/2 UNP $118.82 $122.60 +3.78
2/4 AAPL $119.22 $127.85 +8.63
2/11 MA $84.75 $90.18 +5.43
2/19 STI $40.56 $42.20 +1.64
2/20 STT $76.94 $76.75 -.19
2/23 UNP $123.23 $114.37 - 8.86
2/26 VDSI $25.74 $24.50 -1.24

4-2 on closed plays +/- $1.00 or better during the month of February.  AAPL, STI and UNP paid .47, .20 and .55 Dividends which lowered our cost basis by that amount.   

Long/Short Alerts for January 2015: 

January Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/8 QQQ $103.42 $101.44 -1.98
1/23 WDC $106.48 $100.60 -5.88

0-2 on closed plays +/- $1.00 or better during the month of January. 

Long/Short Alerts for 2014:

Long/Short Alerts for December 2014: 

December Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/2 GRMN $56.39 $54.57 -1.82
12/3 BAC $17.07 $16.93 -.14
12/3 PF $34.30 $34.07 -.23
12/9 BA $129.18 $127.00 -2.18
12/9 COF $83.20 $80.50 -2.70
12/18 IFF $100.97 $102.16 +1.19
12/18 MU $34.40 $34.45 +.05
12/29 NTAP $42.49 $40.50 -1.99

For the year we closed at 27-19 on all alerts.  The Dow was up 7.4% the SP 500 up 11.4% and the Nasdaq was up 13.4% for the year.

1-4 on closed plays +/- $1.00 or better during the month of November.  IFF paid a .47 dividend that factored into our cost basis.

Long/Short Alerts for November 2014:

November Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/6 BA $124.71 $130.86 +6.15
11/7 IACI $66.07 $64.33 -1.74
11/14 WDC $98.25 $101.52 +3.27
11/18 GWW $245.90 $245.95 +.05
11/18 MU $32.59 $35.06 +2.47
11/20 NTAP $41.94 $43.04 +1.10
11/20 UTX $108.77 $109.40 +.63
11/25 ADBE $72.09 $73.59 +1.50

5-1 on closed plays +/- $1.00 or better during the month of November.  IACI paid a .34 Dividend during the period reflected in our cost basis. 

Long/Short Alerts for September/October 2014:

September/October Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/17 SPY $187.89 $193.18 +5.29
10/30 UTX $105.91 $108.91 +3.00
9/4 WFM $39.67 $38.33 -1.34
9/10 DIA $170.36 $172.31 +1.95
9/18 CMI $138.56 $134.90 -3.66
9/24 SPY $198.95 $196.75 -2.20

3-3 on closed plays +/- $1.00 or better during the months of September and October.  The DIA paid a .4126 Dividend during the period reflected in our cost basis.  

Long/Short Alerts for July/August 2014: 

July/August Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/1 M $58.64 $58.60 -.04
7/3 XLI $54.60 $53.91 -.69
7/10 NTAP $36.95 $38.57 +1.63
7/16 PII $131.59 $131.52 -.07
7/18 NKE $77.51 $76.62 -.89
7/23 JWN $68.00 $69.47 +1.47
7/23 ACN $80.65 $78.35 -2.30
7/30 FLS $75.64 $72.53 -3.11
8/12 SPY $193.68 $195.17 +1.49
8/18 MAN $77.12 $77.34 +.22
8/19 AXP $88.07 $89.83 +1.76

4-2 on closed plays +/- $1.00 or better during the months of July and August.  

Long/Short Alerts for May/June 2014: 

May/June Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/2 LULU $45.71 $43.00 -2.71
5/8 XLI $53.19 $54.53 +1.34
5/8 EMR $66.99 $66.42 -.57
5/8 IBM $190.38 $188.61 -1.77
5/16 QQQ $87.64 $90.85 +3.21
5/23 AAP $122.95 $127.59 +4.64
5/28 GS $160.79 $165.14 +4.35
6/10 V $213.02 $209.00 -4.02
6/17 ORLY $148.69 $148.00 -.69
6/18 FISV $59.85   $61.38  +1.53
6/25 AAPL $90.44 $93.08 +2.64

6-3 on closed plays +/- $1.00 or better during the months of May/June.  EMR paid a .43 Dividend during the period which reduced our cost basis by that amount. 

Long/Short Alerts for March/April 2014:

March/April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/4 BAC $16.57 $16.93 +.35
3/11 MELI $100.28 $98.00 -2.28
3/11 DLTR $54.47 $53.00 -1.47
3/18 DE $87.85 $88.86 +1.01
3/20 XLI $51.53 $53.15 +1,61
3/25 EBAY $56.85 $54.50 -2.35
3/31 TRW $80.49 $83.66 +3.17
4/1 ICON $38.52 $38.57 +.05
4/9 GMCR $103.47 $101.00 -2.47
4/14 QQQ $84.47 $83.75 -.72
4/28 MAN $79.34 $81.52 +2.18
4/30 HON $93.03 $92.65 -.38

4-4  on closed plays +/- $1.00 or better during the months of March/April.  BAC paid a .01 Dividend during the period which reduced our cost basis by that amount.  XLI paid a .23 Dividend that reduced our cost basis by that amount.

Long/Short Alerts for February 2014:

February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/5 SPY $175.39 $185.80 +10.41
2/20 XLI $51.23 $53.05 +1.83
2/24 STI $37.42 $39.05 +1.63
2/26 SBUX $71.46 $71.11 -.35

3-0  on closed plays +/- $1.00 or better during the month of February.  STI paid a .10 Dividend during the period which reduced our cost basis by that amount.  We picked up 105 SP 500 points in our SPY trade during the month.

Long/Short Alerts for January 2014:

January Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/6 SPY $182.39 $183.20 +.81
1/10 EL $73.87 $74.02 +.15
1/14 HBI $69.10 $66.00 -3.10
1/14 BRK.B $114.77 $112.72 -2.05
1/16 RAD $5.58 $6.65 +1.07
1/22 EOG $170.71 $166.00 -4.91

1-3  on closed plays +/- $1.00 or better during the month of January.  RAD was up close to 20% for the month.

Long/Short Alerts for 2013:

Long/Short Alerts for December 2013:

December Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/6 PKG $60.21 $63.03 +2.82
12/16 STI $35.46 $36.78 +1.32
12/20 ATO $44.94 $44.65 -.29
12/30 ANSS $87.14 $84.77 -2.37

2-1 on closed plays +/- $1.00 or better during the month of December.  PKG paid a .40 Dividend during the period which is reflected in the cost basis.  For the year we ended up 32-15 on all alerts +/- $1.00 in comparison to the markets which were up 26.5% on the Dow, 29.6% on the SP 500 and 38% on the Nasdaq.

Long/Short Alerts for November 2013: 

November Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/5 STI $33.99 $35.96 +1.97
11/8 CSX $26.34 $27.38 +1.04
11/13 WHR $142.70 $147.45 +4.75
11/21 SPY $178.96 $181.57 +2.61
11/21 SMH $40.71    $40.75   +.04
11/26 SNDK $66.32    $68.25   +1.93

5-0 on closed plays +/- $1.00 or better during the month of November.  CSX paid a .15 Dividend during the period which is reflected in the cost basis.  

Long/Short Alerts for September/October  2013:                 

September/October Performance

.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/11 UNP $157.59 $155.18 -2.41
9/13 GS $164.42 $155.83 -8.59
9/13 C $50.49 $49.64 -.85
9/18 ICE $182.49 $180.48 -2.01
10/1 GOOG $886.44 $874.70 -11.74
10/14 SPY $169.15 $177.20 +8.05
10/23 BBBY $77.07 $75.34 -1.73
10/24 UTX $106.99 $108.32 +1.33

2-5 on closed plays +/- $1.00 or better during the months of September and October.

Long/Short Alerts for August 2013:

August Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/2 PFE $29.33 $27.84 -1.49
8/8 SODA $62.97 $64.95 +1.98
8/8 FLS $56.33 $56.25 -.08
8/12 GS $161.64 $159.96 -1.68
8/20 DDM $94.42 $92.86 -1.58

1-3 on closed plays +/- $1.00 or better during the month of August.

Long/Short Alerts for July 2013:

July Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/2 UNP $156.14 $160.30 +4.16
7/3 PFE $27.69 $29.33 +1.64
7/17 DIS $65.28 $66.72 +1.44
7/19 GS $163.38 $166.50 +3.12
7/19 IFF $79.50 $80.92 +1.42
7/25 GE $24.57     $23.78   -.79
7/25 CNI $99.90 $99.78 -.12

5-0 on closed plays +/- $1.00 or better during the month of July. 

Long/Short Alerts for June 2013:

June Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/10 ROK $86.75 $84.00 -2.75
6/14 COST $110.80 $117.57 +6.77
6/18 CMI $117.38 $112.80 -4.80

1-2 on closed plays +/- $1.00 or better during the month of June. 

Long/Short Alerts for May 2013:

May Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/2 HON $73.13 $79.18 +6.05
5/6 EV $39.85 $42.88 +3.03
5/9 FB $27.47 $26.75 -.72
5/10 MCD $99.09    $100.40  +1.31
5/14 PLL $68.80 $72.32 +3.52
5/16 DISCA $79.60 $76.20 -3.40
5/20 CAT $88.60 $83.56 -5.01
5/31 TWC $97.07 $100.88 +3.81

5-2 on closed plays +/- $1.00 or better during the month of May.   Dividends were paid in the amount of $.41 and $.77 on HON and MCD which reduced the cost basis in both of those names during the period.

Long/Short Alerts for April 2013:

        

April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/10 FLS $164.48 $157.25 -7.23
4/11 COST $105.79 $105.27 -.52
4/24 GPS $37.01 $39.69 +2.68
4/25 CNI $96.09 $100.38 +4.29
4/29 MON $106.25 $107.37 +1.12

3-1 on closed plays +/- $1.00 or better during the month of April.

Long/Short Alerts for March  2013:

March Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/1 ABT $33.80 $33.54 -.26
3/4 ORCL $34.73 $36.09 +1.36
3/5 BBBY $57.87 $61.97 +4.10
3/7 DE $89.88 $91.70 +1.82
3/13 TJX $44.85 $47.65 +2.80
3/20 COST $103.08    $105.60  +2.52
3/20 TSCO $102.18    $101.90  -.28
3/27 GPS $35.33    $36.38 +1.05

 6-0 on closed plays +/- $1.00 or better during the month of March.  

 Long/Short Alerts for January/February  2013:

 

January/February Performance

.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/3 IBM $195.91 $192.12 -3.79

1/4

XOM $88.72 $90.90 +2.18
1/11 ROST $57.09 $56.16 -.93
1/24 ABT $32.89 $34.45 +1.56
1/31 USB $33.19 $34.02 +.83
2/1 XOM $89.25 $88.65 -.60
2/7 STI $28.89 $28.31 -.58
2/14 V $155.91 $155.51 -.40

2-1 on closed plays +/- $1.00 or better during the months of January/February.  A dividend of .57 was paid on the 2nd XOM position.

 Long/Short Alerts for 2012:

 Long/Short Alerts for November/December 2012:

 

November/December Performance
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/1 UYG $64.88 $61.50 -3.38
11/6 UNP $124.08 $119.92 -4.16
11/29 CTSH $67.10 $68.51 +1.41
11/29 ICE $132.06 $133.68 +1.62
12/12 GS $119.51 $124.82 +5.31
12/17 MON $90.23 $93.51 +3.28
12/19 IYW $71.80 $72.90 +1.10
12/21 COF $59.00 $62.05 +3.05

6-2 on Closed plays +/- $1.00 or better during the months of November and December.  

For the balance of 2012 we closed out the year at 35-20 on all trades +/- $1.00 or better compared to the broad market which closed up 7.3% on the Dow, 13.4% on the SP 500 and up 15.9% on the Nasdaq.  

 Long/Short Alerts for September/October 2012:

September/October Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/11 QCOM $61.90 $63.45 +1.55
9/18 IFF $60.12 $62.37 +2.25
9/24 GWW $204.08 $214.43 +10.35
9/27 CNQ $31.37 $30.69 -.68
9/27 FFIV $107.35 $101.00 -6.35
10/3 QCOM $62.03 $58.75 -3.28
10/17 OIH $40.93 $41.00 +.07
10/18 JLL $76.95 $76.97 +.02
10/18 DKS $51.44 $49.60 -1.84

3-3 on Closed plays +/- $1.00 or better during the months of September and October.

Long/Short Alerts for July/August 2012:

July/August Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/2 V $125.70 $122.05 -3.65
7/3 DHR $52.41 $50.10 -2.31
7/5 PNRA $139.35 $145.02 +5.67
7/13 UWM $40.20 $37.92 -2.28
7/16 SBUX $53.30 $53.10 -.20
7/17 FLS $110.85 $112.45 +1.60
7/26 GWW $201.81 $207.14 +5.33
8/2 PNRA $155.26 $154.45 -.79
8/3 TSCO $89.56 $93.27 +3.71
8/6 AXP $57.85 $57.85 0.00
8/23 IBM $196.64 $207.42 +10.78
8/24 MELI $80.80 $85.76 +4.96

6-3 on Closed plays +/- $1.00 or better during the months of July and August.  AXP and TSCO paid a .20 Dividends.  

Long/Short Alerts for May/June 2012:

May/June Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/1 OII $52.24 $48.76 -3.48
5/1 IYT $94.41 $92.60 -1.81
6/12 IJH $91.65 $90.50 -1.15
6/17 V $118.94 $121.89 +2.95
6/20 MELI $69.17 $70.66 +1.49
6/20 SBUX $55.25 $54.49 -.76
6/28 IWMsh $76.23 $79.00 -2.77

2-4 on Closed plays +/- $1.00 or better during the months of May and June.

Long/Short Alerts for April 2012:

April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/13 CF $188.25 $193.27 +5.02
4/17 CNQ $32.82 $34.54 +1.72
4/25 PCP $174.41 $177.90 +3.49
4/30 FFIV $134.18 $124.00 -10.18

3-1 on Closed Plays +/- $1.00 or better during the Month of April.  

Long/Short Alerts for March 2012:

March Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/1 UNP $110.75 $107.09 -3.66
3/7 XLE $73.69 $71.70 -1.71
3/8 KO $69.31 $71.63 +2.82
3/9 VSI $43.62 $44.06 +.44
3/16 XOM $86.18 $85.40 -.78
3/23 ITRI $44.19 $45.45 +1.26
3/26 FTK $12.73 $11.75 -.98
3/30 JNJ $66.06 $63.11 -2.95
3/30 TIF $69.75 $66.15 -3.60

2-4 on closed plays for the month of March.  Dividends of .28 and .51 were paid and factored into our cost basis on the XLE and KO positions. 

Long/Short Alerts for February 2012:

February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/1 CNI $76.85 $78.03 +1.18
2/3 MCD $98.98 $93.50 -5.48
2/13 CTSH $70.77 $72.05 +1.28
2/23 MCK $81.06 $82.66 +1.60
2/23 ORCL $28.83 $30.20 +1.37

4-1 on Closed Plays +/- $1.00 or better during the Month of February.  Dividends on both MCD and MCK for .70 and .20 respectively during our holding period reduced our cost basis on both those issues. 

Long/Short Alerts for January 2012:

January Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/3 OAS $30.64 $32.15 +1.51
1/4 TECD $50.38 $51.55 +1.17
1/9 CNI $77.18 $78.25 +1.07
1/11 POT $43.38 $45.12 +1.74
1/12 SPYsh $128.80 $134.30 -5.50
1/13 MOS $55.30 $55.00 -.30
1/18 JWN $49.22 $48.75 -.47
1/18 XLE $70.33 $71.95 +1.62
1/20 DECK $86.25 $84.20 -2.05
1/23 APC $79.35 $79.25 -.10
1/25 UTX $78.00 $83.32 +5.32
1/27 XLE $71.42 $73.62 +2.20
1/27 IBM $189.95 $203.44 +13.49
1/31 VMW $91.27 $94.00 +2.73

9-2 on Closed Plays +/- $1.00 or better during the Month of January.   During the month Dividends of .75 and .07 were paid on IBM and POT positions reducing our cost basis in those two issues.

Long/Short Alerts for 2011:

Long/Short Alerts for December 2011:

December Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/5 NE $35.90 $32.67 -3.23
12/6 LVS $45.87 $44.45 -1.42
12/9 SPY $125.06 $121.80 -3.26
12/9 IJR $68.45 $65.40 -3.05
12/29 FLS $99.30 $103.52 +4.22
12/30 ROK $73.80 $73.60 -.20
 
For the balance of 2011 we closed out the year at 37-27 on all trades +/- $1.00 or better compared to the broad market which closed up 6% on the Dow, exactly flat on the SP 500 and down -2% on the Nasdaq.
 
1-4 on Closed Plays +/- $1.00 or better during the Month of December.
 
Long/Short Alerts for November 2011:
 
November Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/2 XOM $77.17 $78.30 +1.13
11/4 BWLD $64.26 $63.07 -1.19
11/8 DE $75.42 $77.20 +1.78
11/11 OIH $130.80 $130.30 -.50
11/15 TPX $66.86 $61.80 -5.06
11/16 JNJ $65.05 $62.25 -2.80
11/28 MCD $93.16 $96.38 +3.22
11/29 XOM $77.13 $79.73 +2.60
 
4-3 on Closed Plays +/- $1.00 or better during the Month of November. MCD paid a .70 Dividend which reduces our cost basis by that amount payable on 12/15/2011.
 
Long/Short Alerts for October 2011:
 
October Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/5 UWM $27.00 $28.96 +1.96
10/10 XOM $75.25 $77.82 +2.57
10/12 PCFB $28.08 $28.15 +.07
10/14 NDSN $44.12 $44.50 +.38
10/18 DDM $52.82 $53.30 +.48
10/21 BWLD $63.25 $65.58 +2.33
10/24 PRGS $21.14 $20.95 -.19
10/26 UTX $75.78 $76.20 +.42
10/26 IFF $60.39 $61.91 +1.52
10/28 V $94.93 $90.70 -4.23
 
4-1 on Closed Plays +/- $1.00 or better during the Month of October.
 
Long/Short Alerts for September 2011:
 
September Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/7 DIOD $18.73 $18.40 -.33
9/14 AAPL $390.27 $405.35 +15.08
9/14 AGU $86.12 $87.15 +1.03
9/27 EMN $73.25 $69.29 -3.96
9/29 SH $45.30 $47.16 +1.86
 
3-1 on Closed Plays +/- $1.00 or better during the Month of September. For the Month the SP 500 closed down 7.3%.
 
Long/Short Alerts for August 2011:
 
August Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/3 PPG $82.48 $80.65 -1.83
8/16 CTRPsh $40.23 $38.18 +2.05
8/19 TPXsh $52.65 $53.48 -.83
8/29 FLS $89.82 $92.75 +2.93
 
2-1 on Closed Plays +/- $1.00 or better during the Month of August. The SP 500 was down 5.7% for the month.
 
Long Alerts for July 2011:
 
July Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/6 ESRX $54.30 $52.93 -1.37
7/13 AGU $89.12 $92.50 +3.38
7/14 ROST $78.93 $76.50 -2.43
7/15 IJH $97.45 $93.04 -4.41
7/20 FDX $92.61 $89.56 -3.05
 
1-4 on Closed Plays +/- $1.00 or better during the Month of July.
 
Long Alerts for June 2011:
 
June Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/20 JOYG $84.78 $85.46 +.74
6/21 COP $73.99 $71.60 -2.39
6/27 CNQ $39.95 $42.00 +2.05
 
1-1 on Closed Plays +/- $1.00 or better during the Month of June.
 
Long Alerts for May 2011:
 
May Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/10 DE $94.31 $91.25 -3.06
5/18 SPY $134.13 $131.92 -2.21
5/26 IFF $63.23 $63.08 -.15
5/31 IBM $168.40 $167.18 -1.22
 
0-3 on Closed Plays +/- $1.00 or better during the Month of May.
 
Long Alerts for April 2011:
 
April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/1 EMR $59.10 $58.85 -.25
4/5 JCI $41.73 $38.80 -2.93
4/7 ETN $55.02 $51.40 -3.62
4/7 IR $49.04 $46.40 -2.64
4/14 ROP $85.01 $83.70 -1.31
4/20 UWM $48.58 $51.51 +2.93
4/21 IBM $167.86 $171.79 +3.93
4/25 ROST $72.37 $73.59 +1.22
4/27 GDX $60.65 $59.98 -.67
4/29 PPG $94.28 $90.05 -4.23
 
3-5 on Closed Plays +/- $1.00 or better during the Month of April.
 
Long Alerts for March 2011:
 
March Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/1 QLGC $18.20 $17.76 -.44
3/2 UWM $45.80 $46.65 +.85
3/3 DHR $50.72 $50.62 -.10
3/3 ITW $54.82 $54.70 -.12
3/8 UTX $83.15 $81.42 -1.73
3/8 FCX $50.79 $48.35 -2.44
3/15 CAT $100.60 $101.90 +1.30
3/18 DHR $50.60 $51.78 +1.20
3/21 BKI $25.17 $26.52 +1.35
3/21 BWLD $52.78 $54.46 +1.68
3/23 EMN $96.80 $100.92 +4.12
3/25 PPG $89.70 $94.88 +5.18
3/29 CNQ $48.51 $49.82 +1.31
3/31 GRA $37.79 $39.00 +1.21
3/31 GDX $60.52 $62.90 +2.38
 
9-2 on Closed Plays +/- $1.00 or better during the Month of March. DHR paid a .02 dividend during the period.
 
Long Alerts for February 2011:
 
February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/1 DHR $47.02 $50.68 +3.66
2/3 CMI $107.09 $113.05 +5.96
2/4 GWW $132.48 $134.70 +2.24
2/7 BP $46.07 $47.17 +1.10
2/10 ITW $55.37 $54.96 -.41
2/11 ADBE $33.59 $35.25 +1.66
2/14 FNI $25.29 $25.36 +.07
2/16 GOOG $624.40 $625.05 +.65
2/17 IDT $26.25 $26.00 -.25
2/17 CMI $112.07 $106.50 -5.57
2/25 UWM $46.02 $47.30 +1.28
 
6-1 on Closed Plays +/- $1.00 or better during the Month of February. Dividends paid during the period in the amount of .54 and .42 on our GWW and BP alerts which have been factored into our cost basis.
 
Long Alerts for January 2011:
 
January Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/10 CAKE $31.12 $30.36 -.76
1/10 ROST $64.34 $66.07 +1.73
1/12 WHR $88.90 $90.25 +1.35
1/26 MELI $69.90 $67.52 -2.38
1/26 LVS $46.18 $46.19 +.01
1/31 UWM $42.54 $45.18 +2.64
 
3-1 on Closed Plays +/- $1.00 or better during the Month of January.
 
Long/Short Alerts for 2010:
 
Long/Short Alerts for December 2010:
 
December Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/2 BIDU $107.71 $109.72 +2.01
12/3 KSS $54.94 $52.75 -2.19
12/8 WYNN $100.90 $102.12 +1.22
12/14 BA $64.77 $64.36 -.41
12/29 AMGN $56.22 $57.41 +1.19
12/29 UNP $92.45 $92.18 -.27
 
3-1 on Closed Plays +/- $1.00 or better during the Month of December.
 
For the balance of 2010 we closed out the year at 65-22 on all trades +/- $1.00 or better compared to the broad market which closed up 11% on the Dow, 12.8% on the SP 500 and 16.9% on the Nasdaq. Traded long only since QE-2 announcement in August with the SP 500 at that point in the 1040's when our last short trade was closed out.
 
Long/Short Alerts for November 2010:
 
November Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/1 LULU $44.90 $48.41 +3.51
11/4 FDX $87.93 $87.55 -.38
11/4 DO $69.69 $73.90 +4.21
11/10 FAS $24.51 $23.35 -1.16
11/11 CMI $94.49 $91.15 -3.34
11/11 V $79.08 $74.80 -4.28
11/18 WYN $28.77 $28.58 -.07
11/19 DLB $64.71 $66.21 +1.50
11/22 IFF $51.74 $53.01 +1.27
 
4-3 on Closed Plays +/- $1.00 or better during the Month of November.
 
Long/Short Alerts for October 2010:
 
October Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/1 SBUX $25.70 $26.95 +1.25
10/5 TD $72.84 $73.90 +1.06
10/5 SHLD $71.76 $73.76 +2.00
10/8 PSS $16.45 $17.05 +.60
10/12 ADSK $32.15 $33.15 +1.40
10/13 EXR $16.34 $16.10 -.24
10/15 ESRX $47.84 $49.23 +1.40
10/19 FAST $51.90 $52.94 +1.04
10/20 TGT $53.89 $52.00 -1.89
10/21 BKE $28.48 $28.64 +.16
10/22 JWN $36.68 $38.28 +1.60
10/26 JOSB $45.36 $42.00 -3.36
10/29 HOG $30.62 $33.62 +3.00
 
8-2 on Closed Plays +/- $1.00 or better during the Month of October.
 
Long/Short Alerts for September 2010:
 
September Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/1 WYN $24.00 $25.59 +1.59
9/8 AIT $28.72 $29.99 +1.27
9/8 CTRP $40.68 $43.52 +2.84
9/14 IFF $46.84 $48.58 +1.74
9/15 PKG $23.94 $22.50 -1.44
9/16 HXL $18.32 $18.50 +.18
9/17 EXBD $30.14 $30.06 -.08
9/22 TRW $37.15 $40.12 +2.97
9/23 AIT $29.40 $31.24 +1.84
9/23 NTES $38.67 $39.25 +.58
9/24 JCI $29.62 $31.11 +1.49
9/28 FWLT $24.30 $24.50 +.20
 
7-1 on Closed Plays +/- $1.00 or better during the Month of September. IFF paid a .27 dividend during the month.
 
Long/Short Alerts for August 2010:
 
August Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/2 XME $51.37 $51.00 -.37
8/2 BRK.B $79.40 $80.70 +1.30
8/4 NUS $28.40 $28.07 -.33
8/6 IFF $46.70 $46.61 -.09
8/11 SPYsh $110.55 $108.70 +1.85
8/18 AOS $51.93 $51.80 -.13
8/18 BRK.B $78.75 $77.45 -1.30
8/20 IJHsh $72.85 $71.40 +1.45
8/27 TRW $34.83 $34.05 -.78
8/27 UNP $73.50 $78.40 +4.90
 
4-1 on Closed Plays +/- $1.00 or better during the Month of August. For the month the Dow was down 4%, the SP 500 5% and the Nasdaq 6%.
 
Long/Short Alerts for July 2010:
 
July Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/7 SPYsh $106.00 $109.60 -3.60
7/13 CREE $68.90 $66.50 -2.40
7/14 TSCO $67.51 $67.90 +.39
7/20 GWW $104.95 $108.10 +3.15
7/21 IFF $45.13 $46.72 +1.59
7/22 CSX $51.90 $51.70 -.20
7/22 CTXS $46.20 $48.20 +2.00
7/23 LULU $40.65 $43.30 +2.65
7/23 CTSH $54.85 $54.36 -.49
7/26 KNX $21.97 $20.70 -1.27
7/27 HPQ $46.91 $46.50 -.41
7/27 TRW $32.45 $34.02 +1.57
7/29 LULU $40.67 $41.70 +1.03
7/30 IWM $65.32 $64.90 -.42
 
6-3 on Closed Plays +/- $1.00 or better during the Month of July.
 
Long/Short Alerts for June 2010:
 
June Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/2 IWM $65.22 $66.30 +1.08
6/9 ANF $35.11 $34.40 -.71
6/9 AAPL $250.20 $244.00 -6.20
6/11 DIOD $18.42 $19.58 +1.16
6/14 CTRP $38.80 $42.80 +4.00
6/15 QLGC $17.50 $17.90 +.40
6/17 FOSL $40.30 $39.40 -.90
6/18 CTRN $34.27 $34.00 -.27
6/25 HLF $48.03 $46.60 -1.43
6/29 TDSsh $30.46 $31.90 -1.44
 
3-3 on Closed Plays +/- $1.00 or better during the Month of June. Another strong down month on the major Indices down 3-6% on most Indices.
 
Long/Short Alerts for May 2010:
 
May Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/3 CEVA $12.20 $11.85 -.35
5/12 ITRI $76.91 $74.30 -2.61
5/13 SPYsh $117.10 $112.60 +4.50
5/19 QLD $59.14 $56.00 -3.14
5/27 SPY 109.50 $109.03 -.47
 
1-2 on Closed Plays +/- $1.00 or better during the Month of May. The SP 500 was down 8% for the month. The Dow was down the most during the month of May in 40 years.
 
Long/Short Alerts for April 2010:
 
April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/5 GS $170.69 $177.44 +6.75
4/6 APOL $64.03 $65.34 +1.31
4/9 CHRW $55.85 $56.54 +.69
4/9 BKS $22.63 $22.12 -.51
4/13 SSS $35.16 $35.17 +.01
4/14 BLL $54.05 $54.00 -.05
4/19 CNQ $75.53 $77.20 +1.67
4/20 IBM $129.61 $130.81 +1.20
4/22 ATW $37.21 $36.85 -.36
4/22 GGB $16.56 $16.82 +.26
4/25 CNQ $78.50 $73.25 -5.25
4/29 BKS $22.38 $21.47 -.90
4/29 ETN $78.40 $74.00 -4.40
 
4-2 on Closed Plays +/- $1.00 or better during the Month of April.
 
Long/Short Alerts for March 2010:
 
March Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/1 V $86.06 $91.22 +5.16
3/2 SYK $54.62 $55.00 +.38
3/8 BRCM $31.45 $32.75 +1.30
3/9 MMM $81.68 $82.21 +.53
3/10 BAP $79.76 $81.79 +2.03
3/10 DIOD $21.43 $22.72 +1.29
3/12 COST $60.22 $61.30 +1.08
3/15 ITRI $68.81 $71.24 +2.43
3/16 FLS $105.16 $106.30 +1.14
3/17 ICE $109.86 $113.22 +3.36
3/18 CTRP $36.93 $39.95 +3.02
3/22 V $89.35 $90.93 +1.58
3/22 FLS $104.60 $115.88 +11.28
3/25 DHR $76.43 $79.92 +3.48
3/26 CNQ $70.30 $79.43 +9.13
3/29 CHRW $56.04 $55.82 -.22
3/31 CERN $84.80 $84.85 +.05
 
13-0 on Closed Plays +/- $1.00 or better during the Month of March.
 
Long/Short Alerts for February 2010:
 
February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/3 SPY $110.06 $108.35 -1.71
2/11 MELI $37.15 $40.17 +3.02
2/12 CAVM $22.75 $23.75 +1.00
2/16 SOHU $48.54 $48.54 0.00
2/16 ENR $55.07 $56.30 +1.23
2/17 UTX $66.61 $67.99 +1.38
2/18 SWI $19.47 $18.57 -.90
2/24 ICE $103.85 $108.97 +5.12
2/25 DHR $74.50 $76.75 +2.25
2/25 APA $102.71 $104.15 +1.44
2/26 DIOD $19.40 $22.20 +2.80
2/26 AAPL $204.85 $209.25 +4.40
 
9-1 on Closed Plays +/- $1.00 or better during the Month of February.
 
Long/Short Alerts for January 2010:
 
January Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/4 FPL $53.58 $52.20 -1.38
1/5 ENR $62.22 $64.00 +1.78
1/5 HWCC $12.16 $13.59 +1.43
1/8 GGG $29.52 $30.80 +1.28
1/8 IR $36.50 $36.55 +.05
1/13 SU $36.42 $35.80 -.62
1/13 AMZN $129.35 $125.85 -3.50
1/19 IPI $30.23 $27.60 -2.63
1/27 IJH $71.63 $71.47 -.16
 
3-3 on Closed Plays +/- $1.00 or better during the Month of January.
 
Long/Short Alerts for 2009:
 
Long/Short Alerts for December 2009:
 
December Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/1 ICE $107.20 $103.10 -4.10
12/1 CMG $84.03 $84.20 +.17
12/2 BKE $28.31 $26.55 -1.76
12/9 IJH $69.50 $71.35 +1.85
12/11 HOG $27.26 $25.50 -1.76
12/11 WYNN $62.22 $60.52 -1.70
12/15 IPI $29.85 $32.85 +3.00
12/21 DIA $104.27 $105.30 +1.03
12/23 GWW $97.90 $99.70 +1.80
 
4-4 on Closed Plays +/- $1.00 or better during the Month of December.
 
For the balance of 2009 we closed out the year at 73-24 on all trades +/- $1.00 or better compared to the broad market which closed up 18.8% on the Dow, 23.5% on the SP 500 and 43.5% on the Nasdaq.
 
Long/Short Alerts for November 2009:
 
November Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/3 QLD $48.10 $49.40 +1.30
11/5 XOM $72.37 $74.83 +2.88
11/9 GS $175.38 $179.60 +4.22
11/16 OII $58.12 $55.85 -2.27
11/20 AAPL $199.97 $204.55 +4.58
11/24 IJH $69.30 $69.60 +.30
11/25 SHLD $71.83 $71.67 -.16
 
4-1 on Closed Plays +/- $1.00 or better during the Month of November. XOM paid a .42 Dividend during the period.
 
Long/Short Alerts for October 2009:
 
October Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/2 SPY $102.72 $105.42 +2.70
10/5 CREE $35.38 $40.03 +4.65
10/5 DHR $65.12 $66.15 +1.03
10/6 SOHU $66.90 $66.96 +.06
10/8 SU $35.60 $37.90 +2.30
10/9 CHRW $58.27 $60.87 +2.60
10/14 SHAW $31.90 $31.55 -.35
10/19 XME $49.20 $46.27 -2.93
10/19 SNDA $48.72 $45.95 -2.77
10/21 PAAS $24.05 $22.60 -1.45
10/23 SPYsh $108.06 $104.40 +3.66
 
6-3 on Closed Plays +/- $1.00 or better during the Month of October.
 
Long Alerts for September 2009:
 
September Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/3 ADBE $31.25 $32.70 +1.45
9/3 GWW $86.80 $87.81 +1.01
9/8 AOS $38.75 $39.95 +1.20
9/8 IFF $35.58 $37.83 +2.25
9/9 EOG $74.02 $77.84 +3.82
9/14 DKS $21.70 $22.95 +1.25
9/14 BWLD $40.52 $43.27 +2.75
9/15 SU $35.60 $37.00 +1.40
9/16 PVA $23.17 $22.70 -.47
9/18 KIRK $13.57 $13.65 +.08
9/18 DIOD $20.36 $19.60 -.76
9/22 BWLD $43.85 $39.97 -3.88
9/28 DKS $22.54 $22.32 -.22
9/28 OII $56.03 $56.50 +.47
 
8-1 on Closed Plays +/- $1.00 or better during the Month of September.
 
Long/Short Alerts for August 2009:
 
August Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/4 APH $34.16 $33.72 -.44
8/4 BUCY $31.54 $33.30 +1.76
8/7 EMR $35.58 $35.10 -.25
8/12 FCX $63.15 $63.05 -.15
8/13 HAL $23.92 $25.48 +1.56
8/19 OII $50.55 $54.25 +3.70
8/20 SY $34.33 $34.20 -.13
8/21 DVN $64.30 $64.32 +.02
8/25 RIMM $76.19 $73.35 -2.84
8/28 SLX $48.27 $49.42 +1.15
8/31 SPYsh $102.05 $100.15 +1.90
 
5-1 on Closed Plays +/- $1.00 or better during the Month of August.
 
Long/Short Alerts for July 2009:
 
July Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/1 CMG $81.47 $81.03 -.44
7/8 SPYsh $88.03 $92.00 -3.97
7/15 GS $153.90 $158.50 +4.60
7/15 SNDA $53.70 $57.10 +3.40
7/22 PFCB $35.54 $32.65 -2.89
7/23 GWW $87.37 $90.40 +3.03
7/23 SNCR $13.27 $13.38 +.11
7/23 RIMM $75.17 $77.03 +1.86
7/23 FLR $52.95 $53.78 +.83
7/28 UNP $56.65 $59.75 +3.10
7/30 UTX $53.70 $55.78 +2.08
7/30 SOHU $62.65 $64.02 +1.37
7/31 GOOG $449.50 $449.87 +.37
7/31 XME $39.96 $41.75 +1.79
 
8-2 on Closed Plays +/- $1.00 or better during the Month of July.
 
Long/Short Alerts for June 2009:
 
June Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/1 ASTE $32.05 $33.20 +1.15
6/1 WHR $43.85 $43.80 -.05
6/2 IWM $52.87 $52.20 -.67
6/4 WFC $24.70 $25.75 +1.05
6/4 RIMM $81.65 $83.01 +1.36
6/9 DE $45.85 $46.00 +.15
6/9 DKS $18.54 $18.50 -.04
6/10 SPYsh $94.42 $92.69 +1.73
6/11 RIMM $84.58 $78.00 -6.58
6/18 LULU $13.25 $12.90 -.35
6/18 TNA $28.26 $25.50 -2.76
6/19 BTU $32.05 $28.80 -3.25
6/24 ADBE $28.20 $28.20 0.00
6/24 GOOG $411.00 $426.50 +15.50
6/25 PFCB $31.12 $33.60 +2.48
 
6-3 on Closed Plays +/- $1.00 or better during the Month of June.
 
Long Alerts for May 2009:
 
May Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/1 DHR $58.68 $62.68 +4.00
5/4 DLB $38.42 $38.90 +.48
5/4 CME $229.70 $240.25 +10.55
5/5 FLS $69.30 $71.97 +2.67
5/6 KMT $21.28 $20.57 -.71
5/8 ADBE $25.65 $26.75 +1.10
5/11 AKAM $21.35 $21.40 +.05
5/11 SOHU $55.95 $58.20 +2.25
5/14 IJR $42.43 $42.10 -.33
5/14 AZZ $30.13 $32.70 +2.57
5/19 DHR $59.95 $59.28 -.67
5/26 FLS $70.15 $69.50 -.65
5/26 UNP $48.37 $44.12 -3.98
5/27 PH $43.67 $41.65 -2.02
 
6-2 on Closed Plays +/- $1.00 or better during the Month of May. UNP paid a .27 dividend.
 
Long Alerts for April 2009:
 
April Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/3 CNQ $43.35 $44.75 +1.40
4/8 FLS $60.75 $62.20 +1.45
4/9 FMC $46.87 $46.72 -.15
4/9 SPY $84.95 $85.07 +.12
4/16 CAM $24.62 $26.65 +2.02
4/21 SPY $84.75 $87.90 +3.15
4/23 SOHU $46.77 $48.37 +1.60
4/23 ICE $82.87 $86.25 +3.38
4/24 ADBE $24.52 $27.10 +2.58
4/24 AZZ $28.78 $32.10 +3.32
4/28 UNP $47.50 $49.25 +1.75
 
9-0 on Closed Plays +/- $1.00 or better during the Month of April.
 
Long/Short Alerts for March 2009:
 
March Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/3 EXPsh $18.06 $18.35 -.29
3/4 WFMI $11.65 $11.85 +.20
3/4 FLR $33.17 $37.17 +4.00
3/6 AGUsh $31.35 $35.49 -4.14
3/12 SPY $73.30 $75.03 +1.73
3/12 RIMM $40.85 $41.95 +1.10
3/16 MON $82.13 $83.40 +1.27
3/17 FLS $53.57 $59.02 +5.45
3/17 AAPL $98.95 $101.00 +2.05
3/19 JEC $40.79 $37.10 -3.69
3/23 MOS $44.37 $45.90 +1.53
3/24 SLX $28.15 $29.30 +1.15
3/24 ANF $23.73 $23.97 +.24
3/26 FLS $58.30 $63.20 +4.90
3/26 APA $68.55 $63.09 -5.46
3/26 JOYG $24.18 $20.40 -3.78
3/31 AAPL $106.25 $113.75 +7.50
 
10-4 on Closed Plays +/- $1.00 or better during the Month of March.
 
Short/Long Alerts for February 2009:
 
February Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/3 GOOG $339.15 $349.40 +10.25
2/5 FCX $28.32 $29.90 +1.58
2/5 ITT $45.73 $44.82 -.91
2/11 OIIsh $35.05 $32.57 +2.48
2/12 SGRsh $28.10 $25.95 +2.15
2/20 FPLsh $48.75 $48.95 -.20
2/26 SPYsh $77.77 $71.23 +6.54
 
5-0 on Closed Plays +/- $1.00 or better during the Month of February. During the month the SP 500 was down 10%.
 
Short/Long Alerts for January 2009:
 
January Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/2 MOO $28.94 $30.00 +1.06
1/2 COP $54.99 $56.30 +1.31
1/5 APC $42.30 $41.45 -.85
1/6 NETL $22.62 $21.00 -1.62
1/7 ZBRA $21.35 $19.50 -1.85
1/14 PBRsh $23.82 $24.32 -.50
1/16 MON $79.69 $77.02 -2.67
1/16 MCD $59.62 $58.95 -.67
1/23 SPY $83.02 $83.20 +.18
 
2-3 on Closed Plays +/- $1.00 or better during the Month of January. During the month the SP 500 was down 8.8%.
 
Short/Long Alerts for 2008:
 
Short/Long Alerts for December 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/2 DXD $79.84 $73.50 -6.34
12/8 QCOM $32.24 $34.46 +2.22
12/8 POT $56.77 $65.10 +8.33
12/11 ATW $16.59 $15.75 -.84
12/11 DIAsh $85.95 $86.49 -.54
12/16 UNP $46.20 $49.20 +3.00
12/17 PCZ $25.35 $22.02 -3.33
12/18 VTIsh $44.80 $43.43 +1.37
12/30 ICE $78.15 $81.48 +3.33
 
5-2 on Closed Plays +/- $1.00 or better during the Month of December. QCOM paid a .16 dividend.
 
For the balance of 2008 we closed out the year at 52-33 on all trades +/- $1.00 or better compared to the broad market which closed down a total of -33.8% on the Dow, -38.5% on the SP 500, and -40.5% on the Nasdaq during 2008.
 
Short/Long Alerts for November 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/4 X $40.87 $38.10 -2.77
11/4 ANR $35.90 $30.50 -5.40
11/11 ANSSsh $29.65 $26.59 +3.06
11/13 SSO $26.75 $26.25 -.50
11/18 BBHsh $167.00 $167.27 -.27
11/24 LULU $8.52 $8.37 -.15
11/24 SSO $23.37 $23.50 +.13
11/25 DDM $30.75 $32.20 +1.45
 
2-2 on Closed Plays +/- $1.00 or better during the Month of November. The market was down 8% for the month.
 
Short/Long Alerts for October 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/8 SPY $100.17 $97.00 -3.17
10/16 RIMM $59.12 $59.00 -.12
10/17 FLR $40.85 $42.07 +1.22
10/21 ESRXsh $57.50 $51.90 +5.60
10/23 SPYsh $91.25 $88.40 +2.85
10/27 QLD $29.20 $34.25 +5.05
10/29 MOS $31.25 $35.45 +4.20
10/29 RIO $12.15 $13.40 +1.25
10/31 OIH $97.23 $98.50 +1.37
 
7-1 on Closed Plays +/- $1.00 or better during the Month of October. The market was down 15% for the month a record/near record.
 
Short Alerts for September 2008:
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/2 SPYsh $127.90 $124.68 +3.22
9/8 WBsh $17.83 $15.80 +2.03
9/12 FASTsh $53.65 $56.10 -2.45
9/18 DLTRsh $37.38 $39.92 -2.54
 
2-2 on Closed Plays +/- $1.00 or better during the Month of September.
 
Short/Long Alerts for August 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/4 CMPsh $72.08 $66.77 +5.31
8/5 INP $63.10 $60.19 -2.91
8/5 ILF $48.97 $46.00 -2.97
8/8 AAPL $168.90 $177.37 +8.47
8/11 IJH $81.83 $81.75 -.08
8/11 VSEA $34.78 $34.50 -.28
8/13 SPYsh $128.08 $129.90 -1.82
8/13 XLE $73.27 $72.70 -.57
8/18 DIAsh $114.50 $116.90 -2.40
8/28 AAPL $175.19 $170.25 -4.94
8/28 V $75.72 $75.30 -.42
8/28 MCD $62.68 $63.72 +1.04
 
3-5 on Closed Plays +/- $1.00 or better during the Month of August.
 
Long Alerts for July 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/8 QLD $74.78 $72.87 -1.91
7/8 AAPL $179.20 $176.05 -3.15
7/17 IFN $34.70 $39.78 +5.08
7/17 FEZ $50.76 $51.84 +1.08
7/18 SPY $126.09 $125.75 -.34
7/22 GS $186.85 $174.45 -11.8
7/29 EEM $42.59 $43.35 +.76
7/29 SPY $125.69 $127.46 +1.77
7/30 ATI $48.81 $48.01 -.80
 
3-3 on Closed Plays +/- $1.00 or better during the Month of July. Dividend paid on GS during our hold time (.30).
 
Long/Short Alerts for June 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/4 COST $70.85 $69.96 -.89
6/5 CNQR $36.01 $35.95 -.06
6/9 SPYsh $136.05 $135.89 +.21
6/13 FWLT $73.15 $74.70 +1.55
6/13 HPQ $47.93 $45.75 -2.18
6/16 NUE $77.48 $78.52 +1.04
6/16 BIDU $334.70 $310.00 -24.7
 
2-2 on Closed Plays +/- $1.00 or better during the Month of June.
 
Long Alerts for May 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/6 MON $119.67 $123.67 +4.00
5/6 SLV $167.90 $164.34 -3.56
5/12 ITC $54.90 $54.44 -.46
5/14 GVA $35.67 $35.28 -.39
5/19 BA $87.40 $80.00 -7.40
5/28 BG $117.94 $120.03 +2.09
5/29 TXI $72.54 $71.72 -.82
 
2-2 on Closed Plays +/- $1.00 or better during the Month of May.
 
Long Alerts for April 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/2 RTI $48.02 $49.11 +1.09
4/2 JEC $77.13 $77.37 +.24
4/4 DIOD $23.68 $24.97 +1.29
4/7 GS $179.35 $173.50 -5.85
4/10 DE $86.98 $85.60 -1.38
4/10 WYNN $109.20 $104.68 -4.52
4/16 RIMM $119.07 $122.00 +2.93
4/16 AG $66.50 $68.14 +1.64
4/17 DE $89.60 $91.85 +2.25
4/17 PCP $113.25 $115.00 +1.75
4/24 RIMM $123.40 $123.14 -.26
4/25 LSTR $51.27 $52.40 +1.13
4/25 APD $101.27 $100.66 -.61
4/25 MICC $109.93 $114.52 +4.59
4/25 DE $90.16 $81.00 -9.16
4/28 ESL $53.90 $55.48 +1.58
 
9-4 on Closed Plays +/- $1.00 or better during the Month of April.
 
Long Alerts for March 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/7 SPY $131.30 $129.02 -2.28
3/7 RIMM $99.12 $95.30 -3.82
3/12 SSO $66.95 $63.07 -3.88
3/12 DDM $71.11 $68.00 -3.11
3/18 RIMM $101.97 $116.07 +14.10
3/18 BNI $93.01 $92.90 -.11
3/19 BEAV $34.00 $36.08 +2.08
3/25 CBI $39.22 $40.70 +1.48
3/25 BTU $50.65 $52.12 +1.47
 
4-4 on Closed Plays +/- $1.00 or better during the Month of March.
 
Long/Short Alerts for February 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/1 FXI $149.95 $154.05 +4.10
2/1 X $106.90 $100.02 -6.88
2/5 IWMsh $71.00 $69.50 +1.50
2/8 RIMM $85.89 $91.77 +5.88
2/8 FFIV $21.35 $21.46 +.11
2/11 ADBE $33.26 $34.30 +1.04
2/11 CNQ $62.97 $65.00 +2.03
2/13 SSO $69.88 $70.00 +.12
2/13 RAVN $31.17 $31.20 +.03
2/14 CAT $70.81 $70.80 -.01
2/21 DE $86.26 $85.71 -.55
2/26 ATI $84.60 $81.30 -3.30
2/26 DE $88.30 $86.20 -2.10
2/26 SUN $66.28 $59.97 -6.31
2/27 AKAM $32.42 $34.04 +1.62
 
6-4 on Closed Plays +/- $1.00 or better during the Month of February.
 
Long/Short Alerts for January 2008:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/2 IYTsh $80.77 $75.29 +5.48
1/2 SDS $55.42 $56.80 +1.38
1/2 GOOGsh $682.80 $676.12 +6.68
1/14 ICEsh $172.54 $151.38 +21.17
1/17 GSsh $198.07 $186.73 +11.34
1/17 RBNsh $68.49 $61.06 +7.43
1/18 IYTsh $75.37 $75.06 +.31
1/23 DDM $69.85 $72.02 +2.17
1/28 CATsh $65.60 $70.13 -4.53
1/31 FWLTsh $67.60 $72.00 -4.40
 
7-2 on Closed Plays +/- $1.00 or better during the Month of January.
 
Long Alerts for 2007:
 
Long/Short Alerts for December 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
12/3 FXI $184.13 $186.87 +2.74
12/6 TNH $120.90 $128.09 +7.19
12/6 ATU $31.44 $32.67 +1.23
12/7 BDK $83.17 $73.27 -9.90
12/12 SPY sh $149.30 $148.38 +.92
12/13 AAPL $190.88 $190.32 -.55
12/18 GOOG $670.60 $694.81 +24.21
12/19 WFMI $40.64 $40.70 +.06
12/21 ZOLT $41.25 $42.95 +1.70
12/21 PCU $107.11 $103.61 -3.50
12/21 BA $88.73 $87.02 -1.71
12/24 PKX $154.16 $146.40 -7.09
12/27 RIMM $120.33 $113.05 -7.28
 
5-5 on Closed Plays +/- $1.00 or better during the Month of December. Dividends paid on both BDK/PKX during the period.
 
Long/Short Alerts for November 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
11/12 SPY $146.02 $144.25 -1.77
11/20 MA $186.10 $200.07 +13.97
11/20 PKX $158.40 $163.95 +5.55
11/20 X $89.09 $91.07 +1.98
11/28 AAPL $176.62 $185.77 +9.15
11/29 FCX $92.86 $95.58 +2.72
11/30 PII $45.83 $51.21 +5.38
 
6-1 on Closed Plays +/- $1.00 or better during the Month of November.
 
Long/Short Alerts for October 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
10/2 CMI $132.02 $137.10 +5.08
10/3 SWIR $20.97 $20.70 -.27
10/3 GS sh $228.77 $225.02 +3.75
10/4 GSF $75.67 $78.92 +3.25
10/5 STLD $45.14 $47.50 +2.36
10/5 FPL $63.04 $62.93 -.11
10/9 SSRI $37.03 $39.00 +1.97
10/15 RIMM $112.78 $112.45 -.33
10/16 SPY $153.95 $153.95 0.00
10/18 GS $227.25 $225.15 -2.10
10/23 NILE $80.68 $81.20 +.52
10/24 ETN $92.64 $91.77 -.87
10/24 STLD $51.57 $51.80 +.27
10/29 BNI $86.07 $86.07 0.00
10/29 AMX $64.84 $60.66 -4.18
10/29 IR $51.92 $50.29 -1.63
10/31 BEN $129.67 $119.62 -10.05
10/31 LM $82.95 $77.25 -5.70
10/31 IYT $87.90 $85.22 -2.68
 
ETF Long Term Portfolio
DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/14 XLB $39.62 $42.26 +2.64
9/14 IYT $86.04 $87.13 +1.09
9/14 IAI $49.65 $53.24 +3.59
9/14 TTH $39.59 $41.14 +1.55
9/14 RTH $99.93 $99.10 -.83
9/14 XLI $39.46 $40.74 +1.28
 
10-7 on Closed Plays +/- $1.00 or better during the Month of October. Our long term ETF Portfolio was closed out on 10/17.
 
Long/Short Alerts for September 2007:
 
Performance Data
DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
9/5 JOYG $44.45 $44.45 0.00
9/11 OSG $69.71 $75.89 +6.18
9/11 SYK $68.44 $68.03 -.41
9/11 VMC $85.16 $85.40 +.24
9/12 CMI $115.42 $135.50 +20.08
9/12 AAPL $137.81 $139.70 +1.89
9/12 ATI $91.95 $107.91 +15.96
9/21 GRP $56.29 $53.19 -3.10
9/21 AMGN $55.75 $58.07 +2.32
9/24 ICE $139.00 $146.50 +7.50
9/25 ETN $95.97 $100.30 +4.33
9/25 HON $58.44 $60.15 +1.71
9/25 RVBD $44.03 $39.90 -4.13
9/28 PCR $56.26 $62.95 +6.83
9/28 TK $59.03 57.00 -2.03
 
9-3 on Closed Plays +/- $1.00 or better during the Month of September.
 
Long/Short Alerts for August 2007:
 
Performance Data
DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
8/1 SPY $144.75 $146.50 +1.75
8/2 SUN $65.31 $67.00 +1.69
8/3 SPY $146.19 $147.92 +1.73
8/3 LRCX $56.65 $58.43 +1.78
8/7 SUN $62.99 $64.42 +1.43
8/8 SPY sh $148.90 $150.50 -1.60
8/14 UNP sh $116.70 $104.75 +11.95
8/15 HON sh $57.09 $53.34 +3.75
8/16 IWM $75.40 $78.40 +3.00
8/16 RIMM $192.40 $209.50 +17.10
8/21 SPY sh $144.80 $147.50 -2.70
8/22 GOOG $513.07 $513.75 +.68
8/22 ADBE $40.87 $43.62 +2.75
8/22 DRIV $45.25 $45.15 -.10
8/23 NTRI $47.79 $49.94 +2.15
8/27 GSF $68.62 $71.87 +3.25
8/29 APA $74.68 $78.91 +4.25
8/30 TIE $30.90 $30.04 -.86
8/30 UNP $109.55 $107.50 -2.05
8/30 BTU $42.32 $44.65 +2.33
8/30 SNDK $54.85 $54.75 -.10
 
14-3 on Closed Plays +/- $1.00 or better during the Month of August.
 
Long Alerts for July 2007:
 
Performance Data
DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
7/3 PCAR $89.64 $92.95 +3.31
7/3 MSFT $30.10 $30.20 +.10
7/5 KALU $77.00 $78.10 +1.10
7/5 BARE $35.00 $31.01 -3.99
7/6 GSG $43.35 $43.05 -.30
7/6 MER $84.62 $88.10 +3.48
7/9 RTI $80.65 $86.03 +5.38
7/12 BLL $54.15 $52.01 -2.14
7/13 LRCX $53.91 $59.45 +5.54
7/13 CX $37.29 $35.60 -1.69
7/13 SWH $41.52 $42.72 +1.20
7/13 HHH $61.76 $61.64 -.10
7/13 TTH $40.66 $40.62 -.04
7/17 QSII $41.20 $42.33 +1.13
7/19 OMNI $10.84 $8.98 -1.86
7/20 DKS $56.99 $56.46 -.53
7/23 NVLS $31.29 $30.50 -.79
 
7-4 on Closed Plays +/- $1.00 or better during the Month of July.
 
Long Alerts for June 2007:
 
Performance Data
DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
6/1 GROW $21.44 $23.60 +2.16
6/4 PCH $44.95 $42.38 -2.57
6/12 LRCX $52.38 $52.50 +.12
6/13 AAPL $117.34 $122.53 +5.19
6/14 WYNN $95.15 $90.00 -5.15
6/14 CRM $45.30 $42.70 -2.60
6/18 FFIV $84.23 $89.13 +4.90
6/18 ADN $34.75 $36.30 +1.55
6/19 DKS $55.03 $55.09 +.06
6/19 LMT $95.74 $98.58 +2.84
6/19 MSTR $96.92 $93.80 -3.12
6/21 BA $96.70 $101.36 +4.66
6/26 MNST $40.80 $40.60 -.20
6/28 LEH $76.30 $69.00 -7.30
 
6-5 on Closed Plays +/- $1.00 or better during the Month of June.
 
Long Alerts for May 2007:
 
Performance Data
DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
5/3 PNR $33.59 $33.39 -.20
5/3 PBR 103.15 99.50 -3.65
5/4 GSF 66.14 62.90 -3.24
5/8 SPY sh 150.41 153.66 -3.25
5/14 GOOG 467.05 471.25 +4.20
5/15 COL 67.65 68.75 +1.10
5/16 APA 74.68 78.50 +3.82
5/17 FFIV 75.35 78.91 +3.56
5/17 CX 34.80 34.91 +.11
5/18 ASH 59.80 59.57 -.23
5/18 BBY 47.86 47.60 -.26
5/21 BOOM 34.81 36.00 +1.19
5/23 OMNI 11.15 11.78 +.63
5/23 QQQQsh 47.00 47.00 0.00
5/30 WYNN 94.75 97.11 +2.36
5/30 ATU 54.38 56.00 +1.62
5/31 FFIV 80.00 78.20 -1.80
5/31 WST 49.84 49.89 +.05
5/31 BNI 92.92 90.26 -2.57
 
8-5 on closed plays +/- $1.00 or 5% during the month of May.
 
Long Alerts for April 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
4/2 LEH $68.72 $71.17 +2.46
4/4 BUCY 52.74 54.68 +1.94
4/9 SPY s 144.44 145.25 -.81
4/12 GWR 28.15 28.01 -.14
4/13 LVS 86.26 90.60 +4.34
4/13 KWK 42.95 42.50 -.45
4/13 NBR 31.95 32.96 +1.01
4/16 IAU 68.42 68.11 -.31
4/17 AIG 67.80 71.18 +3.38
4/17 AAPL 89.84 90.95 +1.11
4/18 LCC 47.10 44.00 -3.10
4/23 WFMI 46.46 46.08 -.38
4/23 ATU 52.69 52.50 -.19
4/23 JCG 39.20 39.17 -.03
4/25 FDX 108.32 108.49 +.17
 
6-1 on closed plays +/- $1.00 during the month of April.
 
Long Alerts for March 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
3/5
SPY
$138.73
$139.80
+1.07
3/8 TYC s 31.06 30.79 +.27
3/9 WEBX s 45.93 46.25 -.32
3/12
AVAV
22.65
22.18
-.47
3/14
GOOG
447.75
458.50
+10.75
3/15 ARB 46.74 48.00 +1.26
3/15 LVS 86.10 91.80 +5.70
3/19 APD 73.96 75.15 +1.19
3/19 CTSH 90.20 93.25 +3.05
3/21 CNQ 53.35 57.14 +3.79
3/21 SUN 68.85 74.17 +5.33
3/27 TSCO 51.47 51.45 -.02
3/29 LVS 85.52 87.45 +1.93
.
 
9-0 on closed plays +/- $1.00 during the month of March.
 
Long Alerts for February 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/1 BUCY $46.77 $48.80 +2.03
2/1 FWRD $31.45 $31.53 +.08
2/1 YHOO $28.41 $32.41 +4.00
2/5 HSOA $6.80 $6.05 -.75
2/5 CREE $16.47 $18.35 +1.88
2/8 CERN $49.85 $53.52 +3.67
2/8 FRK $47.80 $66.20 +18.40
2/14 KSS $72.67 $71.81 -.86
2/14 ETN $78.89 $82.34 +3.45
2/15 SIRF $30.31 $30.06 -.25
2/16 RMBS $22.58 $20.35 -2.23
2/16 KNXA $36.58 $34.95 -1.63
2/20 VIA.B $40.70 $40.30 -.40
2/20 AAPL $85.98 $90.15 +4.17
2/21 TSCO $49.82 $50.55 +.73
2/22 CTXS $32.60 $32.15 -.45
 
7-4 on closed plays +/- $1.00 during the month of February.
 
Long Alerts for January 2007:
 
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/8 FDX 107.86 111.15 +3.29
1/10 LRCX 52.11 53.27 +1.16
1/11 STLD 32.65 32.85 +.20
1/11 MMM 78.82 79.20 +.38
1/12 MRVL 20.33 18.60 -1.73
1/23 LEND 26.31 26.32 +.01
1/24 PH 82.10 85.50 +3.40
1/30 BSC 163.35 165.42 +2.07
1/30 KNXA 36.07 38.33 +2.26
 
ETF's:
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
2/21 BBH $189.71 $185.15 -4.56
ETF's:
Performance Data
.DATE SYMBOL ENTRY PRICE EXIT PRICE CHANGE
1/24 IJH 82.21 84.93 +2.72
1/24 IWM 78.40 80.79 +2.39
 
7-1 on closed plays +/- $1.00 during the month of January.
 
Long Term Portfolio for 2007:
 
Closed out 2/27:
 
2007 Long Term Portfolio
.DATE SYMBOL ENTRY PRICE CURRENT PRICE CHANGE
1/9 GS $204.22 $209.22 +5.00
1/9 BSC $164.98 $153.49 -11.49
1/9 FDX $107.86 $115.90 +8.04
1/9 BNI $73.23 $80.13 +6.90
1/9 CNI $42.76 $45.12 +2.36
1/9 LRCX $51.26 $45.60 -5.66
1/9 SNDK $44.41 $38.95 -5.46
1/9 GRMN $51.92 $55.33 +3.41
1/9 BBY $48.95 $48.19 -.76
1/9 ANF $75.28 $82.50 +7.22
1/9 UNH $52.83 $52.93 +.10
1/9 QLGC $21.55 $19.05 -2.50
1/9 DE $91.28 $103.60 +12.32
1/9 WYNN $98.87 $104.25 +5.38
1/9 VDSI $14.28 $18.05 +3.77
1/17 CAT $59.80 $65.59 +5.79
2/13 PH $83.50 $84.30 +.80
 
Long Term Portfolio held for 6 weeks which netted a gain of $43.93. We will be putting out another portfolio once the market conditions are ideal.
 
Long Term ETF's for 2007:
 
2007 Long Term Portfolio
.DATE SYMBOL ENTRY PRICE CURRENT PRICE CHANGE
1/9 BBH $189.68 $185.15 -4.53
1/9 HHH $53.50 $56.72 +3.22
1/9 IWM $76.95 $80.32 +3.37
1/9 IYH $66.90 $67.84 +.94
1/9 IYT $83.05 $89.36 +6.31
1/9 IYW $55.63 $55.03 -.60
.