SYMBOL | INDUSTRY | POSITION | PRICE | DAY CHANGE(%) | ACTIONS |
---|---|---|---|---|---|
ABH | Paper and Paper Products | LONG | 14.75 | 0.00 | HOLD |
ACAS | Investment Services | LONG | 9.02 | 0.00 | HOLD |
ACHN | Major Drugs | SHORT | 10.82 | 0.00 | HOLD |
AM | Printing and Publishing | LONG | 15.72 | 0.45 | HOLD |
ARIA | Biotechnology and Drugs | SHORT | 14.95 | 1.56 | HOLD |
BBOX | Computer Networks | LONG | 26.40 | -0.49 | HOLD |
CECO | Schools | LONG | 7.88 | -2.48 | HOLD |
CET | Misc. Financial Services | LONG | 21.81 | -0.37 | SELL |
CIEN | Communications Equipment | SHORT | 14.57 | -2.80 | HOLD |
CVG | Computer Services | LONG | 12.43 | -0.72 | BUY |
DNDN | Biotechnology and Drugs | SHORT | 9.88 | -1.98 | HOLD |
DSX | Water Transportation | LONG | 8.53 | -1.39 | HOLD |
EWD | Misc. Financial Services | SHORT | 28.36 | 0.32 | HOLD |
EXAS | Biotechnology and Drugs | SHORT | 9.60 | 1.37 | HOLD |
FSLR | Semiconductors | LONG | 25.83 | -6.04 | HOLD |
HNR | Oil and Gas Operations | LONG | 7.89 | -1.74 | HOLD |
IGE | Misc. Financial Services | LONG | 40.67 | -1.21 | HOLD |
ITT | Misc. Capital Goods | LONG | 22.73 | -0.66 | SELL |
IXN | Misc. Financial Services | SHORT | 67.80 | 0.00 | HOLD |
KWK | Oil and Gas Operations | LONG | 5.25 | -3.49 | HOLD |
MIL | Business Services | LONG | 7.54 | 0.00 | BUY |
TPC | Construction Services | LONG | 14.91 | 1.08 | BUY |
PCYC | Biotechnology and Drugs | SHORT | 25.17 | -0.79 | HOLD |
REGN | Biotechnology and Drugs | SHORT | 110.15 | 2.74 | HOLD |
RIMM | Communications Equipment | LONG | 13.11 | -3.46 | HOLD |
RSH | Retail (Technology) | LONG | 6.86 | -2.00 | HOLD |
SPY | Misc. Financial Services | SHORT | 137.58 | 0.01 | HOLD |
SYT | Chemical Manufacturing | LONG | 64.00 | -0.71 | HOLD |
TC | Metal Mining | LONG | 7.00 | -1.82 | HOLD |
VRTX | Biotechnology and Drugs | SHORT | 41.62 | -0.41 | HOLD |
VWO | Misc. Financial Services | SHORT | 43.75 | -0.93 | HOLD |
TODAY SUMMARY | GAINS(%) | ||||
LONGS | -1.59 | ||||
SHORTS | -0.08 | ||||
TOTAL | -1.51 | ||||
S&P 500 | 0.01 | ||||
Since 10-Mar-2011 | GAINS(%) | STD | MAX. FALL | SHARPE RATIO | CALMAR RATIO |
Portfolio | -17.22 | 3.27 | -17.86 | -5.19 | -0.95 |
S&P 500 | 6.10 | 5.38 | -18.61 | 1.12 | 0.32 |
Swing hedge strategy with market neutral ratio. My system is unique and not based on any other idea.
Monday, March 12, 2012
12-Mar-2012 Daily performance
Subscribe to:
Post Comments (Atom)
No comments:
Post a Comment