Friday, September 9, 2011

09-Sep-2011 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
BGFV Retail (Specialty) LONG 6.80 -1.59 SELL
BKR Construction Services LONG 21.23 -2.35 HOLD
CPE Oil and Gas Operations LONG 5.08 -6.79 HOLD
CRTX Biotechnology and Drugs LONG 6.60 -4.07 HOLD
CRY Medical Equipment and Supplies LONG 4.83 -1.02 HOLD
HOFT Furniture and Fixtures LONG 9.19 -2.03 BUY
JST Electronic Instr. and Controls LONG 9.70 0.21 HOLD
KELYA Business Services LONG 13.16 -5.12 HOLD
LCUT Personal and Household Prods. LONG 9.56 -4.21 HOLD
MASC Misc. Fabricated Products LONG 6.64 0.15 HOLD
MLR Auto and Truck Manufacturers LONG 18.20 -2.93 HOLD
MOV Jewelry and Silverware LONG 13.95 -2.38 HOLD
PERY Apparel/Accessories LONG 20.35 -2.40 HOLD
RCKY Footwear LONG 11.02 -3.84 HOLD
RELL Electronic Instr. and Controls LONG 13.78 -1.57 HOLD
RSYS Computer Hardware LONG 6.24 -5.88 HOLD
SFE Business Services LONG 14.63 -2.86 HOLD
SIGA Biotechnology and Drugs LONG 4.87 -5.07 HOLD
SPY Misc. Financial Services SHORT 115.92 -2.62 HOLD
STRT Auto and Truck Parts LONG 22.93 0.00 HOLD
SUP Auto and Truck Parts LONG 15.81 -4.64 HOLD
TSEM Semiconductors LONG 0.71 -2.01 HOLD
UFI Textiles - Non Apparel LONG 9.71 -1.02 HOLD
TODAY SUMMARY GAINS(%)
LONGS -2.83
SHORTS -2.62
TOTAL -0.21
S&P 500 -2.62
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio -4.87 2.33 -9.97 -3.99 -0.93
S&P 500 -11.63 3.68 -17.31 -5.82 -1.24

09-Sep-2011 Daily positions

Pre Opening Longs: BGFV, BKR, CPE, CRTX, CRY, JST, KELYA, LCUT, MASC, MLR,
MOV, PERY, RCKY, RELL, RSYS, SFE, SIGA, STRT, SUP, TSEM, UFI
Pre Opening Shorts: SPY

Thursday, September 8, 2011

08-Sep-2011 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
BGFV Retail (Specialty) LONG 6.91 -2.54 HOLD
BKR Construction Services LONG 21.76 -2.64 HOLD
CPE Oil and Gas Operations LONG 5.45 -1.45 HOLD
CRTX Biotechnology and Drugs LONG 6.88 -5.10 HOLD
CRY Medical Equipment and Supplies LONG 4.88 -1.81 HOLD
JST Electronic Instr. and Controls LONG 9.68 1.04 HOLD
KELYA Business Services LONG 13.87 -3.81 HOLD
LCUT Personal and Household Prods. LONG 9.98 -4.31 HOLD
MASC Misc. Fabricated Products LONG 6.63 -4.19 HOLD
MLR Auto and Truck Manufacturers LONG 18.75 -2.85 HOLD
MOV Jewelry and Silverware LONG 14.29 -1.31 HOLD
PERY Apparel/Accessories LONG 20.85 -1.23 HOLD
PETS Retail (Drugs) LONG 9.88 -1.20 SELL
RCKY Footwear LONG 11.46 -0.00 HOLD
RELL Electronic Instr. and Controls LONG 14.00 -0.28 HOLD
RSYS Computer Hardware LONG 6.63 -4.74 HOLD
SFE Business Services LONG 15.06 -1.05 HOLD
SIGA Biotechnology and Drugs LONG 5.13 -4.82 BUY
SPY Misc. Financial Services SHORT 119.04 -1.04 HOLD
STRT Auto and Truck Parts LONG 22.93 0.00 HOLD
SUP Auto and Truck Parts LONG 16.58 -2.13 HOLD
TSEM Semiconductors LONG 0.72 -3.26 HOLD
UFI Textiles - Non Apparel LONG 9.81 -8.23 HOLD
TODAY SUMMARY GAINS(%)
LONGS -2.43
SHORTS -1.04
TOTAL -1.39
S&P 500 -1.04
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio -4.66 2.30 -9.78 -3.90 -0.92
S&P 500 -9.25 3.63 -17.31 -4.80 -1.00

08-Sep-2011 Daily positions

Pre Opening Longs: BGFV, BKR, CPE, CRTX, CRY, JST, KELYA, LCUT, MASC, MLR,
MOV, PERY, PETS, RCKY, RELL, RSYS, SFE, STRT, SUP, TSEM, UFI
Pre Opening Shorts: SPY

Wednesday, September 7, 2011

07-Sep-2011 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
ACAT Auto and Truck Manufacturers LONG 15.60 3.72 SELL
BGFV Retail (Specialty) LONG 7.09 4.88 HOLD
BKR Construction Services LONG 22.35 3.95 HOLD
CPE Oil and Gas Operations LONG 5.53 4.34 HOLD
CRTX Biotechnology and Drugs LONG 7.25 1.83 HOLD
CRY Medical Equipment and Supplies LONG 4.97 5.52 HOLD
JST Electronic Instr. and Controls LONG 9.58 -0.10 HOLD
KELYA Business Services LONG 14.42 6.89 HOLD
LCUT Personal and Household Prods. LONG 10.43 3.57 HOLD
MASC Misc. Fabricated Products LONG 6.92 3.44 HOLD
MLR Auto and Truck Manufacturers LONG 19.30 1.85 HOLD
MOV Jewelry and Silverware LONG 14.51 7.32 HOLD
PERY Apparel/Accessories LONG 21.11 4.71 BUY
PETS Retail (Drugs) LONG 10.00 3.41 HOLD
RCKY Footwear LONG 11.46 0.35 HOLD
RELL Electronic Instr. and Controls LONG 14.04 3.69 HOLD
RSYS Computer Hardware LONG 6.96 4.82 HOLD
SFE Business Services LONG 15.22 4.60 HOLD
SPY Misc. Financial Services SHORT 120.29 2.82 HOLD
STRT Auto and Truck Parts LONG 22.93 3.94 HOLD
SUP Auto and Truck Parts LONG 16.94 7.01 HOLD
TSEM Semiconductors LONG 0.75 2.62 HOLD
UFI Textiles - Non Apparel LONG 10.69 6.58 HOLD
TODAY SUMMARY GAINS(%)
LONGS 4.01
SHORTS 2.82
TOTAL 1.19
S&P 500 2.82
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio -3.31 2.08 -9.57 -3.10 -0.67
S&P 500 -8.29 3.64 -17.31 -4.34 -0.91

07-Sep-2011 Daily positions

Pre Opening Longs: ACAT, BGFV, BKR, CPE, CRTX, CRY, JST, KELYA, LCUT, MASC,
MLR, MOV, PETS, RCKY, RELL, RSYS, SFE, STRT, SUP, TSEM, UFI
Pre Opening Shorts: SPY

Tuesday, September 6, 2011

06-Sep-2011 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
ACAT Auto and Truck Manufacturers LONG 15.04 4.16 HOLD
BGFV Retail (Specialty) LONG 6.76 1.96 HOLD
BKR Construction Services LONG 21.50 0.89 HOLD
CPE Oil and Gas Operations LONG 5.30 -0.38 HOLD
CRTX Biotechnology and Drugs LONG 7.12 -5.07 HOLD
CRY Medical Equipment and Supplies LONG 4.71 -2.89 HOLD
JST Electronic Instr. and Controls LONG 9.59 -0.31 HOLD
KELYA Business Services LONG 13.49 -3.37 HOLD
LCUT Personal and Household Prods. LONG 10.07 0.10 HOLD
LDL Misc. Capital Goods LONG 9.78 4.04 SELL
MASC Misc. Fabricated Products LONG 6.69 -3.04 HOLD
MLR Auto and Truck Manufacturers LONG 18.95 1.12 HOLD
MOV Jewelry and Silverware LONG 13.52 -4.45 BUY
PETS Retail (Drugs) LONG 9.67 -0.31 HOLD
RCKY Footwear LONG 11.42 -1.30 HOLD
RELL Electronic Instr. and Controls LONG 13.54 0.30 BUY
RSYS Computer Hardware LONG 6.64 -6.87 HOLD
SFE Business Services LONG 14.55 3.41 HOLD
SPY Misc. Financial Services SHORT 116.99 -0.73 HOLD
STRT Auto and Truck Parts LONG 22.06 -3.03 HOLD
SUP Auto and Truck Parts LONG 15.83 -1.98 HOLD
TSEM Semiconductors LONG 0.73 -1.36 HOLD
UFI Textiles - Non Apparel LONG 10.03 -0.50 HOLD
TODAY SUMMARY GAINS(%)
LONGS -0.74
SHORTS -0.73
TOTAL -0.01
S&P 500 -0.73
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio -4.44 2.28 -9.57 -3.82 -0.91
S&P 500 -10.81 3.68 -17.31 -5.56 -1.18

06-Sep-2011 Daily positions

Pre Opening Longs: ACAT, BGFV, BKR, CPE, CRTX, CRY, JST, KELYA, LCUT, LDL,
MASC, MLR, PETS, RCKY, RSYS, SFE, STRT, SUP, TSEM, UFI
Pre Opening Shorts: SPY