Tuesday, March 5, 2013

05-Mar-2013 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
AB Investment Services SHORT 22.98 1.37 HOLD
AIRM Misc. Transportation LONG 48.56 3.45 HOLD
ANDE Crops LONG 49.08 0.59 HOLD
BAS Oil Well Services and Equipment LONG 13.84 1.39 HOLD
BBT Regional Banks SHORT 30.41 -2.31 HOLD
BCO Business Services LONG 26.80 0.56 HOLD
BIG Retail (Specialty) LONG 33.89 3.35 HOLD
BLX Regional Banks SHORT 24.66 -1.08 HOLD
BPOP Regional Banks SHORT 27.78 0.87 HOLD
C Money Center Banks SHORT 43.60 1.54 HOLD
CALM Fish/Livestock LONG 40.66 1.70 HOLD
CEC Restaurants LONG 30.71 3.64 HOLD
CEF Misc. Financial Services SHORT 19.48 -0.31 HOLD
CENTA Personal and Household Prods. LONG 8.72 0.23 HOLD
DUK Electric Utilities SHORT 70.16 0.65 HOLD
ESI Schools LONG 12.60 1.94 HOLD
FHN Regional Banks SHORT 10.83 0.56 HOLD
FRED Retail (Department and Discount) LONG 13.61 0.81 HOLD
GBX Railroads LONG 20.80 2.82 HOLD
HBC Regional Banks SHORT 54.08 0.24 HOLD
HCBK SandLs/Savings Banks SHORT 8.65 0.23 HOLD
ISBC SandLs/Savings Banks SHORT 17.98 0.28 HOLD
JBT Misc. Capital Goods LONG 18.48 0.60 HOLD
KMR Oil Well Services and Equipment SHORT 82.34 -0.21 HOLD
KRNY SandLs/Savings Banks SHORT 10.12 -0.78 HOLD
LAD Retail (Specialty) LONG 43.11 2.01 HOLD
LINE Oil and Gas Operations SHORT 37.67 0.67 HOLD
MT Iron and Steel SHORT 14.38 1.27 HOLD
NILE Retail (Specialty) LONG 34.31 1.69 HOLD
NJR Natural Gas Utilities LONG 45.11 1.14 HOLD
NR Oil Well Services and Equipment LONG 9.06 3.54 HOLD
NVS Major Drugs SHORT 68.94 0.06 HOLD
OMX Office Supplies LONG 12.29 0.99 HOLD
SAFM Food Processing LONG 52.63 0.86 HOLD
SLV Misc. Financial Services SHORT 27.75 0.54 HOLD
SPTN Retail (Grocery) LONG 17.28 0.52 HOLD
STM Semiconductors SHORT 8.08 0.75 HOLD
STRA Schools LONG 47.28 0.83 HOLD
TFSL SandLs/Savings Banks SHORT 10.47 -0.66 HOLD
TKC Communications Services SHORT 16.50 0.00 HOLD
USB Regional Banks SHORT 34.28 0.00 HOLD
USTR Office Supplies LONG 37.13 -0.72 HOLD
VALE Metal Mining SHORT 17.98 -0.22 HOLD
TODAY SUMMARY GAINS(%)
LONGS 1.52
SHORTS 0.16
TOTAL 1.37
S&P 500 0.89
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio 4994367927918.74 2162909086296.08 -17.50 0.00 1246072.76
S&P 500 21.61 4.80 -18.61 2.14 0.55

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