Tuesday, April 1, 2014

01-Apr-2014 Daily performance

SYMBOL INDUSTRY POSITION PRICE DAY CHANGE(%) ACTIONS
ACAT Auto & Truck Manufacturers - NEC LONG 47.52 -0.56 HOLD
ALJ Petroleum Refining LONG 15.66 4.82 HOLD
ANN Women's Apparel Retailers LONG 41.62 0.34 HOLD
AUY Integrated Mining SHORT 8.81 0.34 HOLD
AVB Residential REITs SHORT 131.27 -0.04 HOLD
BIG Discount Stores - NEC LONG 37.96 0.24 HOLD
BLT Integrated Mining LONG 11.97 0.59 HOLD
CCL Hotels, Motels & Cruise Lines - NEC SHORT 38.40 1.43 HOLD
DEI Commercial REITs - NEC SHORT 27.01 -0.48 HOLD
DENN Restaurants & Bars - NEC LONG 6.60 2.64 HOLD
DVN Oil & Gas Exploration and Production - NEC SHORT 67.68 1.12 HOLD
EQR Residential REITs SHORT 58.56 0.98 HOLD
GG Gold - NEC SHORT 24.53 0.20 HOLD
GPI New Car Dealers LONG 66.61 1.45 HOLD
GPRE Industrial Gas LONG 31.81 6.17 HOLD
HTS Mortgage REITs SHORT 18.98 0.69 HOLD
KOP Commodity Chemicals - NEC LONG 41.52 0.70 HOLD
KRNY Commercial Banks SHORT 14.79 0.07 HOLD
LAD New Car Dealers LONG 68.30 2.77 HOLD
LNG Natural Gas Pipeline SHORT 57.59 4.05 HOLD
MTRX Oil Related Services and Equipment - NEC LONG 34.38 1.78 HOLD
MWE Oil & Gas Refining and Marketing - NEC SHORT 65.00 -0.49 HOLD
NR Oil Related Services and Equipment - NEC LONG 11.53 0.70 HOLD
NVS Pharmaceuticals - NEC SHORT 84.51 -0.60 HOLD
O Commercial REITs - NEC SHORT 40.53 -0.81 HOLD
PDLI Biotechnology & Medical Research - NEC LONG 8.37 0.72 HOLD
PLD Industrial REITs SHORT 40.88 0.12 HOLD
PZZA Restaurants & Bars - NEC LONG 52.34 0.44 HOLD
ROMA Banks - NEC SHORT 21.06 0.00 HOLD
SHPG Pharmaceuticals - NEC SHORT 148.03 -0.34 HOLD
SLV Investment Trusts SHORT 19.06 0.11 HOLD
SNX Computer Peripherals LONG 61.70 1.80 HOLD
STM Semiconductors - NEC SHORT 9.25 0.11 HOLD
SWHC Industrial Machinery & Equipment - NEC LONG 14.76 0.96 HOLD
TWI Auto, Truck & Motorcycle Parts - NEC LONG 18.98 -0.05 HOLD
VMW IT Services & Consulting - NEC SHORT 111.80 3.50 HOLD
WES Oil & Gas Refining and Marketing - NEC SHORT 67.45 1.90 HOLD
WNR Petroleum Refining LONG 40.11 3.91 HOLD
TODAY SUMMARY GAINS(%)
LONGS 1.63
SHORTS 0.59
TOTAL 1.04
S&P 500 0.66
Since 10-Mar-2011 GAINS(%) STD MAX. FALL SHARPE RATIO CALMAR RATIO
Portfolio 50605343.60 16864654.13 -20.17 0.00 343.72
S&P 500 51.39 5.70 -18.61 2.52 0.77

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