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Virginiabob's portfolio discussion and trade record

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End of day report for my portfolio:

Bought 54 shares of VTI at 107.70
Bought 46 shares of VTI at 107.74
Bought 67 shares of VTI at 107.81 (did 3 different VTI buys with 3 accounts, no commissions)
Sold 2000 shares of UGAZ at 2.30.  Originally purchased at average cost of 2.05.  Gain of $500.
Bought 55 shares USLV at 17.76
Bought 89 shares UGLD at 10.96



Last edited by Virginiabob on Fri May 08, 2015 11:30 am; edited 1 time in total

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Have some cash on hand to invest after recent sales. Watching CREE, AXP, BBY, GLW, HSY for dip purchases.

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What the heck, I just bought all 5 at open.

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I think I just hit 10% total returns YTD (don't jinx it Bob!) in my trading account.  The S&P 500 index is currently up about 1.9%.  So beating the market by over 5x YTD isn't too bad.

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End of day report for my portfolio:

Bought 186 shares BBY at $34.82
Bought 90 shares AXP at $77.81
Sold 100 shares VTI at 108.40 for $118.16 gain.
Bought 189 shares CREE at $31.53
Sold 48 shares VTI at 108.40 for $10.76 loss (just selling to get a little more buying money)
Bought 334 shares GLW at $21.02
Bought 76 shares HSY at $92.31


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Thinking of dumping some of my RUSS shares today for a loss.  Held way too long, but last week's portfolio gains make this bearable to take the loss.

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Sold 55 shares of USLV for 20.06 from 17.76 for $122.50 gain after commissions.

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Sold 200 shares of RUSS (average at 9.40) at 7.00 for a big loss of $504 including commissions.

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My account actually up pretty good today.  The stocks that I took a beating on were already priced in.  Approaching 12% for YTD returns overall.

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Just passed 12%.  If this goes too much further I'm going to be doing some selling to take some profits.

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End of day report for my portfolio:

Sold 200 shares of RUSS (average at 9.40) at 7.00 for a big loss of $504 including commissions.
Sold 55 shares of USLV for 20.06 from 17.76 for $122.50 gain after commissions.

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Sold 89 UGLD shares originally purchased for 10.96 for 11.23 for $20.03 profit after commissions.  Obviously, not a huge profit play. But I typically buy and sell gold and silver together.  Total for gold silver this trade was $144.53 (122.50+20.03).

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Pretty crappy day so far.  Down about $800 - all things considered, could be a lot worse.  Whole market pretty much tanking.

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Stashing some cash in the standby index fund on a down day.  Bought VTI 64 shares at 108.19.

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End of day report:
Sold 89 UGLD shares originally purchased for 10.96 for 11.23 for $20.03 profit after commissions.
Bought VTI 64 shares at 108.19.

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Stashin some more cash in the index fund based on the stock market being overall down.  Added 46 shares VTI 107.74.  No commissions.

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Sold 2250 shares of UGAZ at 2.27 for $491 profit after commisisons. Profitable, but may regret this later if UGAZ goes to $3.

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Bought 44 shares of WFM for 43.26 at open.  Doing the $2,000 position size for now on all TGMBFS trades to make sure that trades actually execute at numbers shown in the system. If the system makes me some cash, I'll increase positions sizes proportionally, and I may just go all in with $5000 positions after the first 6 months.

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Almost made up for the last few days market correction.

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Played the pump and dump on Koss based on an alert from Superlative Stocks. Bought at 2.52, sold at 3.10. 2,000 shares. 4 minutes hold time. Profit $1056. See Pump and dump thread for tips on catching these.

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Sold VVUS for a $4 loss total after commissions. Bought at 2.55, sold at 2.55, 401 shares. Pretty much negligible trade, but it did tie up $1000 for 6 weeks. I actually adjusted the stop loss from 2.75 to 2.55 just this morning. I thought I bought it for 2.50, but then realized later I bought it for 2.55, resulting in the no gain vs. $20. Oh well, minor stuff.

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On a side note, I don't think anyone is really using this forum or reading my posts, but I like it as good place to keep my trading journal anyways. Learn from mistakes/successes.

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Unknowingly sold of 1250 shares of UGAZ at 2.50 this morning (left up Friday's stop loss - thought it was a one day order, not good until cancelled).  So anyways, only have 1000 shares left and using that as my new starting position (see UGAZ thread).

Profit on those 1250 shares was $558.50 after commissions.

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Dumping off INTC and BBY at open. Think both could still run, but taking the quick profits on BBY and INTC has outstayed its welcome (some profits, but took way too long at 2 months). Should get about $800 profit between the 2, or 6%. Only held BBY for a 10 less than 2 weeks. Will post actual profit numbers tomorrow.

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Sold BBY too early at 36.74. bought at 34.82. 186 shares. $353.12 profit.
Sold INTC probably too early at 32.49. Bought at 31.00, 216 shares. $317.84 profit.
Bought 13 shares PXD at 152.96 (TGMBFS pick).

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