What a crazy day. After the House passed the bailout bill, the stock market actually went down. I made several trades and managed to do reasonably well, except I re-bought STT too soon after selling. I am currently experiencing a loss on STT and hope to sell within two weeks.
Also, the percentages for EMC and Yahoo are slightly off, because I dipped into my non-retirement accounts to buy some shares. I am losing a few hundred dollars on the trades in my non-retirement funds, but nothing that significantly impacts the percentages below.
I added MGM to my open positions at about 2,000 dollars' worth. Vegas relies on now-nervous California citizens for much of its income, but I am willing to bet a small amount that Vegas has some more tricks up its sleeve. I also wouldn't be surprised to see Dubai provide the 500 billion dollars needed to complete the latest MGM project. I still don't like MGM's CEO, J. Terrence Lanni, so I probably won't add to my MGM position.
My major positions are now STT, YHOO, SWZ, and GXC. Yahoo stock seems priced far too low.
Open Positions
CCT = -7.95
EMC = -13.58
EZU = -16.73
GXC = -12.15
MGM = -3.45
IF = -33.37
STT = -8.45 (afterhours price)
SWZ = -12.62
VPL = -13.80
YHOO = -16.09
[Average of "Open Positions": losing/negative average 13.82%]
[138.19/10]
Closed Positions:
Held more than seven days but less than one year (from May 30, 2008):
CNB = +10.0
EQ = -8.83
EWM =-11.61 [sold 9/22/08]
EWS = -12.98 [sold 9/22/08]
GE = -6.4
GLD = +8.61 [sold 9/22/08]
INTC = 0.0 (excluded from average; insignificant movement)
KOL = -10.36
PFE = -5.5
PNK = -16.7
PPS = -2.8
VNQ = +2.37 [sold 8/7/08]
WFR = +0.9 (approx; based on partial sales week of 8/4/08 in two separate accounts)
WYE = +2.4
[Overall Record for 7 days+ trades: lost an average of 3.92%]
[-50.90 / 13 trades]
Held less than 7 days:
DUK = (0%, excluded from avg) [8/07/08 - 8/14/08]; GE (1.0%); GOOG (0.8%) [7/28/08 - 7/29/08]; GOOG (5.4) [9/29 - 9/30]; GRMN (-6.2%) [Sold 8/5/08]; ICE (2.0%), MMM (0.5%), MRK (0.1%), KOL (13.2%) [9/17/08 to 9/19/08]; MOS (10.4%) [10/6/08 to 10/8/08]; NVDA (8.0%) [8/12 to 8/13/08]; PFE (1.3%), SCUR (15%); SO (-0.3%) [Sold 8/5/08]; STT (2.68%) [10/1/08 to 10/3/08]; STT (0.4%) [10/3/08 to 10/7/08]; TTWO (4.3%) [partial sales on 8/5/08, 8/7/08, and 8/8/08]; TTWO (2.2%) [9/9/08 to 9/12/08]
[Overall Record for ultra short-term 2 to 7 days trades: gained an avg of 3.57%]
[60.78 / 17 trades; as of 10/8/08]
Daytrades:
C = +11.49 (09/01/08)
PFE = +0.5%
GE = +0.5% (Updated on July 14, 2008; bought at 27.15, sold at 27.30)
STT = +0.3
XLF = +4.3% (Updated on July 15, 2008)
[Overall Record for daytrades: Gained an average of 3.35%]
16.79/5
Compare to S&P 500: losing/negative 20.67%
[from May 30, 2008 (1385.67) to October 3, 2008 (1099.23)]
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