Wednesday, April 20, 2011

20-Apr-2011 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
AIR Aerospace and Defense LONG 25.70 2.39 HOLD
AM Printing and Publishing LONG 24.04 1.65 BUY
BBY Retail (Technology) LONG 30.10 1.69 HOLD
BTH Personal and Household Prods. LONG 45.50 0.89 HOLD
CAAS Auto and Truck Parts LONG 9.91 1.43 HOLD
CCL Recreational Activities LONG 37.55 -1.21 HOLD
CHDN Casinos and Gaming LONG 40.79 1.82 SELL
CMC Iron and Steel LONG 16.43 1.67 HOLD
COHU Semiconductors LONG 14.34 4.67 HOLD
GES Retail (Apparel) LONG 39.78 3.35 HOLD
HAS Recreational Products LONG 44.91 1.56 HOLD
HHGP Business Services LONG 6.07 9.07 BUY
JBL Electronic Instr. and Controls LONG 19.63 3.32 HOLD
LYTS Furniture and Fixtures LONG 7.13 1.57 BUY
MED Biotechnology and Drugs LONG 17.41 3.45 HOLD
MR Scientific and Technical Instr. LONG 26.55 1.14 HOLD
MTL Iron and Steel LONG 28.75 2.46 HOLD
NCT Real Estate Operations LONG 5.99 5.83 HOLD
NNBR Misc. Fabricated Products LONG 16.25 -0.06 SELL
NVMI Semiconductors LONG 10.08 5.44 HOLD
RIMM Communications Equipment LONG 54.46 2.33 HOLD
SID Misc. Fabricated Products LONG 15.87 1.67 SELL
SOL Semiconductors LONG 9.27 4.86 HOLD
SPY Misc. Financial Services SHORT 133.10 1.36 HOLD
SSI Retail (Apparel) LONG 18.85 1.84 SELL
STLD Iron and Steel LONG 18.48 0.11 HOLD
TSO Oil and Gas Operations LONG 27.62 1.73 HOLD
VIP Communications Services LONG 14.29 0.85 BUY
WATG Auto and Truck Parts LONG 5.77 1.96 HOLD
TODAY SUMMARY GAINS(%)
LONGS 2.26
SHORTS 1.36
TOTAL 0.90
S&P 500 1.35
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO
Portfolio 0.77 0.76 -2.01 1.01
S&P 500 0.78 0.83 -4.78 0.95

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