Monday, August 1, 2011

01-Aug-2011 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
AGP Healthcare Facilities LONG 48.06 -12.62 BUY
CBR Software and Programming LONG 5.23 4.18 HOLD
CVI Oil and Gas Operations LONG 27.51 2.46 HOLD
DDE Casinos and Gaming LONG 3.09 -0.32 HOLD
DIOD Semiconductors LONG 23.21 -1.44 HOLD
HITK Biotechnology and Drugs LONG 28.13 -0.57 HOLD
HURC Scientific and Technical Instr. LONG 29.95 1.80 HOLD
JJSF Food Processing LONG 51.71 0.04 SELL
KTEC Misc. Capital Goods LONG 16.00 -1.48 BUY
LABL Printing Services LONG 27.32 1.43 SELL
LYTS Furniture and Fixtures LONG 8.65 3.97 SELL
MASC Misc. Fabricated Products LONG 8.88 4.47 HOLD
MMS Business Services LONG 38.85 0.57 HOLD
RCKY Footwear LONG 13.07 2.91 HOLD
RIMG Computer Peripherals LONG 14.95 0.88 BUY
ROCK Constr. - Supplies and Fixtures LONG 10.27 -0.10 HOLD
RSYS Computer Hardware LONG 8.02 1.01 SELL
SGK Printing Services LONG 15.91 0.76 HOLD
SOL Semiconductors LONG 4.54 0.22 HOLD
SPR LONG 20.32 -0.83 HOLD
SPY Misc. Financial Services SHORT 128.78 -0.43 HOLD
SWM Paper and Paper Products LONG 55.99 -0.21 HOLD
TESS Communications Equipment LONG 15.01 2.11 HOLD
TICC Misc. Financial Services LONG 9.05 0.78 HOLD
TSEM Semiconductors LONG 1.07 1.42 HOLD
UFI Textiles - Non Apparel LONG 12.88 0.39 BUY
UFS Paper and Paper Products LONG 78.49 -1.83 HOLD
ZEUS Misc. Fabricated Products LONG 26.05 -0.38 HOLD
TODAY SUMMARY GAINS(%)
LONGS 0.98
SHORTS -0.43
TOTAL 1.40
S&P 500 -0.43
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio 5.49 1.38 -4.62 10.34 3.09
S&P 500 -1.82 2.04 -6.90 -2.20 -0.65

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