Tuesday, March 20, 2012

20-Mar-2012 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
ABH Paper and Paper Products LONG 15.44 0.00 HOLD
ACAS Investment Services LONG 9.11 0.00 HOLD
ACHN Major Drugs SHORT 10.54 0.00 HOLD
AM Printing and Publishing LONG 16.43 0.12 HOLD
ARIA Biotechnology and Drugs SHORT 15.05 -1.18 HOLD
BBOX Computer Networks LONG 25.20 -1.25 HOLD
CECO Schools LONG 8.46 -0.70 HOLD
CIEN Communications Equipment SHORT 15.89 -0.81 HOLD
CVG Computer Services LONG 12.78 -0.23 HOLD
DNDN Biotechnology and Drugs SHORT 9.93 -1.29 HOLD
DSX Water Transportation LONG 8.81 -2.33 HOLD
EWD Misc. Financial Services SHORT 28.89 -2.07 HOLD
EXAS Biotechnology and Drugs SHORT 9.80 -2.39 HOLD
FSLR Semiconductors LONG 27.46 -4.22 HOLD
HNR Oil and Gas Operations LONG 7.61 -3.91 HOLD
IGE Misc. Financial Services LONG 40.76 -1.55 HOLD
IXN Misc. Financial Services SHORT 70.14 -0.18 HOLD
KWK Oil and Gas Operations LONG 5.82 -2.02 HOLD
MIL Business Services LONG 7.59 -0.26 HOLD
TPC LONG 15.39 -0.90 HOLD
PCYC Biotechnology and Drugs SHORT 26.22 -1.09 HOLD
REGN Biotechnology and Drugs SHORT 116.46 0.96 HOLD
RIMM Communications Equipment LONG 14.11 -2.49 HOLD
RSH Retail (Technology) LONG 6.64 0.30 HOLD
SPY Misc. Financial Services SHORT 140.44 -0.29 HOLD
SYT Chemical Manufacturing LONG 64.90 -0.57 HOLD
TC Metal Mining LONG 6.95 -1.97 HOLD
VRTX Biotechnology and Drugs SHORT 40.92 -1.73 HOLD
VWO Misc. Financial Services SHORT 43.58 -1.40 HOLD
TODAY SUMMARY GAINS(%)
LONGS -1.29
SHORTS -0.96
TOTAL -0.34
S&P 500 -0.29
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio -16.97 3.15 -18.90 -5.20 -0.87
S&P 500 8.78 5.65 -18.61 1.49 0.45

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