Subscribers are invited to email stock symbols if you’d like a Seismic Stock Trading opinion on timing your trade.

The prices used below are Market On Close (MOC) unless otherwise specified.  My initial positions are usually approximately 10% of the portfolio value, rounded up to the nearest round lot (a round lot is 100 shares).  I use options for stocks that would cost more than 20% of my total portfolio value, 1 option contract= 100 shares.  In IRA accounts, I use options (puts) instead of a short on any price stock.  Whenever I add to a position, I add 100 shares or 1 option contract.  I use margin. Please contact me with any questions or comments.

 

TRADES FOR 9/30

DNDN- hold short position, lower the buy-stop to 5.84 (Sell was 9/22 @ 6.49)

CIR- hold short position, lower the buy-stop to 45.78  (Sell was 9/22 @ 53.75)

ATI- hold long position, place a sell-stop @ 26.60 (Buy was 9/29 @ 31.93)

GPS- sell at the open for a new short position. Sold @ 17.89

CRXX- buy at the open for a new long position.  Bot @ 3.20

TRADES FOR 9/29

CIR- hold short position, lower the buy-stop to 47.81  (Sell was 9/22 @ 53.75)

DNDN- hold short position, lower the buy-stop to 5.90 (Sell was 9/22 @ 6.49)

PG- hold long position, raise the sell-stop to 67.70 (Buy was 9/23 @ 68.14) Sold @ 67.70, loss=.64%

RSH- hold long position, raise the sell-stop to 17.16 (Buy was 9/24 @ 17.03) Sold @ 17.16, profit=.76%

CTRN- hold long position, place a sell-stop @ 16.56. (Buy was 9/25 @ 17.16) Sold @ 16.56, loss=3.50%

JNJ- hold long position, place a sell-stop @ 68.74 (Buy was 9/26 @ 68.77) Sold @ 68.74, loss=.04%

ATI- buy at the open for a new long position. Bot @ 31.93

TRADES FOR 9/26

CIR- hold short position, lower the buy-stop to 50.55 (Sell was 9/22 @ 53.75)

DNDN- hold short position, lower the buy-stop to 5.99 (Sell was 9/22 @ 6.49)

NIHD- hold long position, raise the sell-stop to 40.19 (Buy was 9/23 @ 40.47) Sold @ 40.19, loss=.69%

PG- hold long position, raise the sell-stop to 67.59 (Buy was 9/23 @ 68.14)

RSH- hold long position, raise the sell-stop to 17.13 (Buy was 9/24 @ 17.03)

CTRN- hold long position, place a sell-stop @ 16.28. (Buy was 9/25 @ 17.16)

JNJ- buy at the open for a new long position.  Bot @ 68.77.

TRADES FOR 9/25

QQQQ- hold short position, lower the buy-stop to 41.44 (Sell was 9/22 @ 42.75) Bot @ 41.44, profit=3.06%

CIR- hold short position, lower the buy-stop to 51.19 (Sell was 9/22 @ 53.75)

DNDN- hold short position, lower the buy-stop to 6.06 (Sell was 9/22 @ 6.49)

NIHD- hold long position, raise the sell-stop to 40.10 (Buy was 9/23 @ 40.47)

PG- hold long position, raise the sell-stop to 67.14 (Buy was 9/23 @ 68.14)

RSH- hold long position, place a sell-stop @ 16.61 (Buy was 9/24 @ 17.03)

CTRN- buy at the open for a new long position. Bot @ 17.16.

TRADES FOR 9/24

QQQQ- hold short position, place a buy-stop to 41.89 (Sell was 9/22 @ 42.75)

CIR- hold short position, lower the buy-stop to 52.27 (Sell was 9/22 @ 53.75)

DNDN- hold short position, lower the buy-stop to 6.34  (Sell was 9/22 @ 6.49)

NIHD- hold long position, place a sell-stop @ 39.37 (Buy was 9/23 @ 40.47)

PG- hold long position, place a sell-stop @ 67.07 (Buy was 9/23 @ 68.14)

RSH- buy at the open for a new long position.  Bot @ 17.03

TRADES FOR 9/23

CIR- hold short position, place a buy-stop @ 54.00 (Sell was 9/22 @ 53.75)

QQQQ- hold short position, place a buy-stop @ 42.84.(Sell was 9/22 @ 42.75)

DNDN- hold short position, place a buy-stop @ 6.49. (Sell was 9/22 @ 6.49)

NIHD- buy at the open for a new long position.  Bot @ 40.47.

PG- buy at the open for a new long position.  Bot @ 68.14.

TRADES FOR 9/22

BLUD- hold long position, raise the sell-stop to 31.01. (Buy was 9/18 @ 31.07)Sold @ 31.01,loss=.19%

NYX- sell at the open for a new short position. Trade prevented by the new no-short rule.

CIR- sell at the open for a new short position. Sold @ 53.75.

QQQQ- sell at the open for a new short position. Sold @ 42.75.

DNDN- sell at the open for a new short position. Sold @ 6.49.

TRADES FOR 9/19

ANN- hold short position, lower the buy-stop to 23.24. (Sell was 9/10 @ 26.33) Bot @ 24.08 at the open, profit=8.55%

BLUD- hold long position, place a sell-stop @ 30.07. (Buy was 9/18 @ 31.07)

GR- hold long position, place a sell-stop @ 42.57.  (buy was 9/18 @ 44.79) Sold @ 42.57, loss= 4.98%

CERN- hold short position, place a buy-stop @ 48.15. (Sell was 9/18 @ 47.70) Bot at the open @ 49.22,          loss= 3.19%

EMN- sell at the open for a new short position. CANCEL this trade due to the new rule: no naked short-selling.

TRADES FOR 9/18

ANN- hold short position, lower the buy-stop to 24.25. (Sell was 9/10 @ 26.33)

MMC- hold short position, place a buy-stop @ 33.40. (Sell was 9/17 @ 32.24) Bot @ 33.40, loss=3.6%

BLUD- Buy at 30.45 for a new long position. Bot @ 31.07.

GR- Buy @ 44.17 for a new long position. Bot @ 44.79.

CERN- sell at the open for a new short position.  Sold @ 47.70.

TRADES FOR 9/17

T- Buy at the open to close short position. (Sell was 9/10 @ 32.22) Bot @ 29.41, profit=8.72%

ANN- hold short position, lower the buy-stop to 24.70. (Sell was 9/10 @ 26.33)

CVC- hold long position, place a sell-stop @ 25.12 (Buy was 9/16 @ 25.65) Sold @ 25.12, loss=2.07%

TXN- sell @ 22.82 for a new short position.  Didn’t happen, high was 22.75.

MMC- sell at the open for a new short position.  Sold @ 32.24.

TRADES FOR 9/16

T- hold short position, lower the buy-stop to 31.35. (Sell was 9/10 @ 32.22)

ANN- hold short position, lower the buy-stop to 25.58. (Sell was 9/10 @ 26.33)

LM- hold short position, lower the buy-stop to 38.97. (Sell was 9/12 @ 40.09) Bot @ 38.97, profit=2.79%

UTX- hold long position, place a sell-stop @ 62.52.  (buy was 9/15 @ 62.83) Bot @ 62.52, loss=.49%

CVC- buy at the open for a new long position.  Bot @ 25.65

TRADES FOR 9/15

KSS- hold short position, lower the buy-stop to 51.94. (Sell was 9/10 @ 52.87) Bot @ 51.94, profit= 1.76%

T- hold short position, lower the buy-stop to 31.59. (Sell was 9/10 @ 32.22)

ANN- hold short position, lower the buy-stop to 25.87. (Sell was 9/10 @ 26.33)

HAL- hold long position, place a sell-stop @ 35.64. (Buy was 9/11 @ 35.40) Sold @ 35.64, profit=.68%

LM- hold short position, place a buy-stop @ 41.05. (Sell was 9/12 @ 40.09)

UTX- Buy at the open for a new long position. Bot @ 62.83.

TRADES FOR 9/12

KSS- hold short position, lower the buy-stop to 52.56. (Sell was 9/10 @ 52.87)

T- hold short position, lower the buy-stop to 31.61. (Sell was 9/10 @ 32.22)

KEY- hold short position, lower the buy-stop to 12.87. (Sell was 9/10 @ 13.55) Bot @ 12.87, profit=5.02%

ANN- hold short position, lower the buy-stop to 26.32. (Sell was 9/10 @ 26.33)

HAL- hold long position, place a sell-stop @ 34.48. (Buy was 9/11 @ 35.40)

LM- sell at the open for a new short position.  Sold @ 40.09

TRADES FOR 9/11

KSS- hold short position, place a buy-stop @ 53.39 (Sell was 9/10 @ 52.87)

T- hold short position, place a buy-stop @ 32.49. (Sell was 9/10 @ 32.22)

KEY- hold short position, place a buy-stop @ 13.40 (Sell was 9/10 @ 13.55)

ANN- hold short position, place a buy-stop @ 26.72.  (Sell was 9/10 @ 26.33)

SMBL- hold short position, place a buy-stop @ 7.02. (Sell was 9/10 @ 6.86) Bot @ 7.02, loss=2.33%

HAL- buy at the open for a new long position.  Bot @ 35.40.

TRADES FOR 9/10

KSS-sell @ the open for a new short position. Sold @ 52.87.

T- place a 1% trail to sell into a new short position. Sold @ 32.22.

KEY- sell at the open for a new short position. Sold @ 13.55

ANN-sell at the open for a new short position. Sold @ 26.33.

SMBL- place a 1% trail to sell into a new short position. Sold @ 6.86.

TRADES FOR 9/9

TXN- hold long position, raise the sell-stop to 21.97 (Buy was 9/5 @ 21.86) Sold @ 21.88 at the open, profit=.09%

YHOO- hold long position, place a sell-stop @ 17.87. (Buy was 9/8 @ 18.33) Sold @ 17.87, loss=2.51%

TRADES FOR 9/8

DSX- hold long position, place a sell-stop @ 23.05. (Avg buy= 25.53) Sold @ 23.05, loss=9.71%

MER- hold short position, lower the buy-stop to 26.85.  (Sell was 9/4 @ 27.65)Bot @ 28.50 at the open, loss=3.07%

TXN- hold long position, place a sell-stop @ 21.81 (Buy was 9/5 @ 21.86)

YHOO- buy at the open for a new long position. Bot @ 18.33.

TRADES FOR 9/5

FST- hold short position, lower the buy-stop to 52.98.  (Sell was 8/28 @ 58.85) Bot @ 52.98, Profit= 9.97%

DSX- hold long position, add to long position with a buy at the opening. (First buy was 9/3 @ 27.24) Bot @ 23.81

SGY- hold long position, place a sell-stop @ 44.21.  (Buy was 9/3 @ 45.42) Sold @ 44.21, loss= 2.66%

MER- hold short position, place a buy-stop @ 28.32.  (Sell was 9/4 @ 27.65.

TXN- buy at the open for a new long position.  Bot @ 21.86.

TRADES FOR 9/4

FST- hold short position, lower the buy-stop to 53.98.  (Sell was 8/28 @ 58.85)

FDO-hold short position, lower the buy-stop to 25.43. (Sell was 9/2 @ 25.25) Bot @ 25.43, loss=.71%

DSX- hold long position. (Buy was 9/3 @ 27.24)

SGY- hold long position.  (Buy was 9/3 @ 45.42)

COP- hold long position, place a sell-stop @ 77.67.  (Buy was 9/3 @ 78.71) Sold @ 77.67, loss= 1.32%

MER- sell at the open for a new short position. Sold @ 27.65.

TRADES FOR 9/3

FST- hold short position, lower the buy-stop to 55.93.  (Sell was 8/28 @ 58.85)

FDO-hold short position, place a buy-stop @ 26.54. (Sell was 9/2 @ 25.25)

DSX- buy at the open for a new long position. Bot @ 27.24.

SGY- buy at the open for a new long position.  Bot @ 45.42.

COP- buy at the open for a new long position.  Bot @ 78.71.

TRADES FOR 9/2

FNM- hold long position, raise the sell-stop to 6.76. (Avg buy was 5.09) Sold @ 6.76, profit= 32.81%

MAT- hold short position, lower the buy-stop to 19.65. (Sell was 8/25 @ 20.91) Bot @ 19.65, profit= 6.03%

AOB- hold long position, raise the sell-stop to 8.22.  (Buy was 8/26 @ 8.05) Sold @ 8.22, profit= 2.11%

FST- hold short position, lower the buy-stop to 58.50.  (Sell was 8/28 @ 58.85)

SCHW- hold short position, place a buy-stop @ 24.40 (Sold 8/20 @ 24.20) Bot @ 24.40, loss= .83%

FDO- sell at the open for a new short position.  Sold @ 25.25.

TRADES FOR 8/29

FNM- hold long position, raise the sell-stop to 6.67. (Avg buy was 5.09)

CHS- hold long position, raise the sell-stop to 5.50.  (Buy was 8/21 @ 4.47) Sold @ 5.50, Profit-23.04%

MAT- hold short position, place a buy-stop @ 19.83. (Sell was 8/25 @ 20.91)

AOB- hold long position, place a sell-stop @ 8.20.  (Buy was 8/26 @ 8.05)

GT- hold long position, place a sell-stop @ 19.45. (Buy was 8/27 @ 19.67) Sold @ 19.45, loss= 1.12%

FST- hold short position, place a buy-stop @ 59.33.  (Sell was 8/28 @ 58.85)

SCHW- sell at the open for a new short position.  Sold @ 24.20.

TRADES FOR 8/28

FNM- hold long position, raise the sell-stop to 5.82. (Avg buy was 5.09)

CHS- hold long position, raise the sell-stop to 5.15.  (Buy was 8/21 @ 4.47)

MAT- hold short position, place a buy-stop @ 20.10. (Sell was 8/25 @ 20.91)

AOB- hold long position, place a sell-stop @ 8.10.  (Buy was 8/26 @ 8.05)

GT- hold long position. (Buy was 8/27 @ 19.67)

FST- sell at the open for a new short position. Sold @ 58.85.

TRADES FOR 8/27

FNM- hold long position, raise the sell-stop to 5.27. (Avg buy was 5.09)

CHS- hold long position, raise the sell-stop to 5.09.  (Buy was 8/21 @ 4.47)

MAT- hold short position, place a buy-stop @ 20.28. (Sell was 8/25 @ 20.91)

AOB- hold long position, place a sell-stop @ 8.05.  (Buy was 8/26 @ 8.05)

BUCY- hold short position, place a buy-stop @ 68.99. (Sell was 8/26 @ 68.99) Bot @ 68.99, profit=0

GT- buy at the open for a new long position. Bot @ 19.67.

TRADES FOR 8/26

FNM- hold long position, raise the sell-stop to 4.45. (Avg buy was 5.09)

CHS- hold long position, raise the sell-stop to 4.72.  (Buy was 8/21 @ 4.47)

MAT- hold short position, place a buy-stop @ 20.98. (Sell was 8/25 @ 20.91)

AOB- buy at the open for a new long position.  Bot @ 8.05.

BUCY- sell at the open for a new short position.  Sold @ 68.99

TRADES FOR 8/25

FNM- hold long position, raise the sell-stop to 4.35. (Avg buy was 5.09)

WL- hold long position, raise the sell-stop to 22.52.(Buy was 8/20 @ 23.32) Sold @ 22.52, loss= 3.43%

CHS- hold long position, raise the sell-stop to 4.64.  (Buy was 8/21 @ 4.47)

MAT- sell at the open for a new short position. Sold @ 20.91.

TRADES FOR 8/22

EVVV- hold short position, lower the buy-stop to 11.84. (Avg sell was  @ 11.40)  Bot @ 11.84, loss=3.86%.

WAG- hold short position, lower the  buy-stop to 36.37. (Sell was 8/14 @ 36.66) Bot @ 36.37, profit=.79%.

MAR- hold short position, lower the buy-stop to 27.05. (Sell was 8/15 @ 29.08) Bot @ 27.34, profit=5.98%

FNM- hold long position, place a sell-stop @ 3.53. (Avg buy was 5.09)

WL- hold long position, place a sell-stop @ 22.50.. (Buy was 8/20 @ 23.32)

CHS- hold long position, place a sell-stop @ 4.41.  (Buy was 8/21 @ 4.47)

SCHW- sell at the open for a new short position.

TRADES FOR 8/21

EVVV- hold short position, lower the buy-stop to 12.05. (Avg sell was  @ 11.40)

WAG- hold short position, lower the  buy-stop to 36.48. (Sell was 8/14 @ 36.66)

MAR- hold short position, keep the buy-stop @ 28.09. (Sell was 8/15 @ 29.08)

FNM- Add to long position with a buy at the opening.  (First buy was 8/19 @ 6.19)  Bot @ 3.99, Avg buy= 5.09.

WL- hold long position. (Buy was 8/20 @ 23.32)

CHS- buy at the open for a new long position.  Bot @ 4.47.

TRADES FOR 8/20

EVVV- hold short position, lower the buy-stop to 12.11. (Sell was 8/8 @ 10.84)  Add to position with a sell at the open.  Sold @ 11.97, Avg sell= 11.40,

WAG- hold short position, lower the  buy-stop to 37.00. (Sell was 8/14 @ 36.66)

MAR- hold short position, lower the buy-stop to 28.09. (Sell was 8/15 @ 29.08)

MMC- hold short position, lower the buy-stop to 31.52.  (Sell was 8/18 @ 31.60) Bot @ 31.52,profit=.25%.

FNM- hold long position.  (Buy was 8/19 @ 6.19)

WL- buy at the open for a new long position. Bot @ 23.32.

TRADES FOR 8/19

EVVV- hold short position, place a buy-stop @ 12.14. (Sell was 8/8 @ 10.84)

WAG- hold short position, lower the  buy-stop to 37.50. (Sell was 8/14 @ 36.66)

MAR- hold short position, place a buy-stop @ 29.47.. (Sell was 8/15 @ 29.08)

MMC- hold short position, place a buy-stop @ 32.24.  (Sell was 8/18 @ 31.60)

FNM- buy at the open for a new long position.  Bot @ 6.19.

TRADES FOR 8/18

EVVV- hold short position. (Sell was 8/8 @ 10.84)

WAG- hold short position, place a buy-stop @ 37.85. (Sell was 8/14 @ 36.66)

MAR- hold short position. (Sell was 8/15 @ 29.08)

MMC- sell at the open for a new short position.  Sold @ 31.60.

TRADES FOR 8/15

EVVV- hold short position. (Sell was 8/8 @ 10.84)

INTC- hold short position. Lower the buy-stop to 24.49. (sell was 8/13 @ 24.29) Bot @ 24.49, loss= .01%

WAG- hold short position. (Sell was 8/14 @ 36.66)

MAR- sell at the open for a new short position.  Sold @ 29.08

TRADES FOR 8/14

EVVV- hold short position. (Sell was 8/8 @ 10.84)

QQQQ- hold short position, place a buy-stop @ 48.12. (sell was 8/11 @ 47.30) Bot @ 48.12, loss= 1.73%

CPWR- hold short position, lower the  buy-stop to 11.65. (Sell was 8/11 @ 11.56) Bot @ 11.65, loss= .78%

USTR- hold short position, place a buy-stop @ 50.01 (Sell was 8/11 @ 48.98) Bot @ 51.01, loss= 2.10%

INTC- hold short position. Place a buy-stop @ 24.75. (sell was 8/13 @ 24.29)

WAG- sell at the open for a new short position. Sold @ 36.66.

TRADES FOR 8/13

WYE- hold long position, raise the sell-stop to 43.06.  (Buy was 7/31 @ 39.97) Sold @ 43.06, profit= 7.73%

T- hold long position, raise the sell-stop to  31.50.  (Buy was 8/4 @ 30.47) Sold @ 31.50, profit= 3.38%

EVVV- hold short position. (Sell was 8/8 @ 10.84)

QQQQ- hold short position. (sell was 8/11 @ 47.30)

CPWR- hold short position, place a buy-stop @ 11.86. (Sell was 8/11 @ 11.56)

USTR- hold short position. (Sell was 8/11 @ 48.98)

INTC- sell at the open for a new short position. Sold @ 24.29.

TRADES FOR 8/12

WYE- hold long position, raise the sell-stop to 42.71.  (Buy was 7/31 @ 39.97)

T- hold long position, raise the sell-stop to  30.96.  (Buy was 8/4 @ 30.47)

EVVV- hold short position. (Sell was 8/8 @ 10.84)

QQQQ- hold short position. (sell was 8/11 @ 47.30)

CPWR- hold short position. (Sell was 8/11 @ 11.56)

USTR- hold short position. (Sell was 8/11 @ 48.98)

TRADES FOR 8/11

HNZ- hold short position, lower the buy-stop to 51.42. (avg sell @ 50.56) Bot @ 51.42, loss=1.67%

SYMC- hold short position, lower the buy-stop to 22.04.  (Sell was 7/30 @ 19.80) Bot @ 22.04, loss=11.31%

WYE- hold long position, raise the sell-stop to 42.70.  (Buy was 7/31 @ 39.97)

T- hold long position, raise the sell-stop to  30.32.  (Buy was 8/4 @ 30.47)

EVVV- hold short position. (Sell was 8/8 @ 10.84)

QQQQ- sell at the open for a new short position.  Sold @ 47.30.

CPWR- sell at the open for a new short position.  Sold @ 11.56

USTR- sell at the open for a new short position.  Sold @ 48.98

TRADES FOR 8/8

HNZ- hold short position, place a buy-stop @ 51.75. (avg sell @ 50.56)

SYMC- hold short position, place a buy-stop @ 22.22..  (Sell was 7/30 @ 19.80)

WYE- hold long position, keep the sell-stop at 42.50.  (Buy was 7/31 @ 39.97)

CRDN- hold  short position, place a buy-stop @ 48.79.(Sell was 8/7 @ 48.73). Bot @ 48.79, loss= .12%

MHS- hold short position, keep the buy-stop at 48.29.  (Sell was 8/1 @ 49.33) Bot @ 48.29, profit= 2.11%

T- hold long position, keep stop @ 30.13.  (Buy was 8/4 @ 30.47)

USTR- hold short position, place a buy-stop @ 48.04. (Sell was 8/7 @ 47.48). Bot @ 48.04, loss= 1.16%

EVVV- sell at the open for a new short position. Sold @ 10.84.

TRADES FOR 8/7

HNZ- hold short position. (avg sell @ 50.56)

SYMC- hold short position.  (Sell was 7/30 @ 19.80)

WYE- hold long position, raise the sell-stop to 42.50.  (Buy was 7/31 @ 39.97)

CRDN- sell at the open for a new short position.  Sold @ 48.73.

MHS- hold short position, lower the buy-stop to 48.29.  (Sell was 8/1 @ 49.33)

T- hold long position, keep stop @ 30.13.  (Buy was 8/4 @ 30.47)

FE- hold long position, place a sell-stop @ 68.07Buy was  8/6 @ 68.10). Sold @ 68.07, loss=nil

BHP- hold long position, place a sell-stop @ 67.73.  (Buy was 8/5 @ 67.12) Sold @ 67.73, profit= .9%

USTR- sell at the open for a new short position.  Sold @ 47.48.

TRADES FOR 8/6

HNZ- sell at the open to add to short position. Sold @ 51.09. (Avg sell @ 50.56)

SYMC- hold short position.  (Sell was 7/30 @ 19.80)

WYE- hold long position, raise the sell-stop to 41.15.  (Buy was 7/31 @ 39.97)

CRDN- hold short position, place a buy-stop @ 47.09. (Sell was 7/31 @ 46.08) Bot @ 47.09, loss=2.19%

MHS- hold short position, lower the buy-stop to 48.63.  (Sell was 8/1 @ 49.33)

T- hold long position, place a sell-stop @ 30.13.  (Buy was 8/4 @ 30.47)

BHP- hold long position.  (Buy was 8/5 @ 67.12)

FE- buy at the open for a new long position.  Buy was @ 68.10.

T RADES FOR 8/5

 HNZ- hold short position.  (Sell was 7/30 @ 50.04)

SYMC- hold short position.  (Sell was 7/30 @ 19.80)

WYE- hold long position, raise the sell-stop to 40.19.  (Buy was 7/31 @ 39.97)

CRDN- hold short position, place a buy-stop @ 47.09. (Sell was 7/31 @ 46.08)

MHS- hold short position, lower the buy-stop to 48.98.  (Sell was 8/1 @ 49.33)

T- hold long position.  (Buy was 8/4 @ 30.47)

BHP- buy at the open for a new long position.  Bot @ 67.12

TRADES FOR 8/4

HNZ- hold short position.  (Sell was 7/30 @ 50.04)

SYMC- hold short position.  (Sell was 7/30 @ 19.80)

WYE- hold long position, raise the sell-stop to 39.75.  (Buy was 7/31 @ 39.97)

CRDN- hold short position. (Sell was 7/31 @ 46.08)

MHS- hold short position, place a buy-stop @ 49.98.  (Sell was 8/1 @ 49.33)

T- buy at the open for a new long position.  Bot @ 30.47.

TRADES FOR 8/1

HNZ- hold short position.  (Sell was 7/30 @ 50.04)

SYMC- hold short position.  (Sell was 7/30 @ 19.80)

WYE- hold long position, place a sell-stop @ 39.49.  (Buy was 7/31 @ 39.97)

CRDN- hold short position. (Sell was 7/31 @ 46.08)

MHS- sell at market open for a new short position.  Sold @ 49.33.

TRADES FOR 7/31

AA- sell at market open. (Buy was 7/18 @ 33.70) Sold @ 34.78, profit= 3.2%

VLO- sell at market open. (Buy was 7/28 @ 32.45) Sold @ 34.57, profit= 6.53%

DELL- buy @ market open to close short. (Sell was 7/30 @ 24.16)  Bot @ 24.09, profit= .29%

HNZ- hold short position.  (Sell was 7/30 @ 50.04)

SYMC- hold short position.  (Sell was 7/30 @ 19.80)

WYE- buy at market open for a new long position. Bot @ 39.97.

CRDN- sell at market open for a new short position. Sold @ 46.08.

TRADES FOR 7/30

AA- hold long position. (Buy was 7/18 @ 33.70)

VLO- hold long with the good-to-cancelled (GTC) sell order @ 35.03.  (Buy was 7/28 @ 32.45)

TIE- sell @ 11.88 to close long position, (Buy was 7/29 @ 10.65) Sold @ 11.88, profit= 11.55%

DELL- sell at the open for a new short position. Sold @ 24.16.

HNZ- sell at the open for a new short position.  Sold @ 50.04.

SYMC- sell at the open for a new short position.  Sold @ 19.80.

TRADES FOR 7/29

AA- hold long position. (Buy was 7/18 @ 33.70)

AMAT- sell @ 17.01 to close. (Buy was 7/28 @ 16.90) Sold @ 17.01, profit= .65%

VLO- place a good-to-cancelled (GTC) sell order @ 35.03.  (Buy was 7/28 @ 32.45)

TIE- buy at the open for a new long position.  Bot @ 10.65.

TRADES FOR 7/28

AA- Sell @ 33.70 to close position.  (Buy was 7/18 @ 33.70)  Didn’t happen, high was 33.27.

AMAT- buy at the open for a new long position.  Bot @ 16.90.

VLO- buy at the open for a new long position.  Bot @ 32.45.

TRADES FOR 7/25

AA- Sell @ 33.70 to close position.  (Buy was 7/18 @ 33.70) Didn’t happen, high was 32.39.

CWTR- Buy @ 6.60 to close short position.  (Sell was 7/21 @ 6.64) Bot @ 6.60, profit= .60%

OVTI-  Buy at the market open to close short position. (Sell was 7/22 @ 11.70)  Bot @ 11.51, profit= 1.62%

MR- Buy at the market open to close short position.(  Sell was 7/24 @ 37.36) Bot @ 36.16, profit= 1.79%

TRADES FOR 7/24

AA- hold long position.  (Buy was 7/18 @ 33.70)

CWTR- hold short position.  (Sell was 7/21 @ 6.64)

OVTI- hold short position.  (Sell was 7/22 @ 11.70)

MR- sell at the open for a new short position.  Sold @ 37.36. 

TRADES FOR 7/23

PWE- hold long position.  Keep the  sell-stop at 29.86.(Buy was 7/16 @ 30.31) Sold @ 29.86, loss= 1.48%

PGH- hold long position. Keep the sell-stop at 18.00. (Buy was 7/16 @ 18.12) Sold @ 18.00, loss=.66%

SNDK- hold short position.  Lower the buy-stop to 14.45.(Sell was 7/17 @ 17.63) Bot @ 14.45, profit=18.04%

AA- hold long position.  (Buy was 7/18 @ 33.70)

CWTR- hold short position.  (Sell was 7/21 @ 6.64)

DELL- Hold short position.  Place a buy-stop @ 23.67 (Sell was 7/21 @24.42) Bot @ 23.67, Profit=3.07%

OVTI- hold short position.  (Sell was 7/22 @ 11.70) 

MR- sell at the open for a new short position.  Sold @ 37.36

TRADES FOR 7/22

PWE- hold long position.  Raise the  sell-stop to 29.86.(Buy was 7/16 @ 30.31)

PGH- hold long position. Raise the sell-stop to 18.00. (Buy was 7/16 @ 18.12)

KBH- hold short position. Lower the buy-stop to 18.44. (Sell was 7/17 @ 17.27) Bot @ 18.44, loss=6.77%

PBR- hold long position, place a sell-stop @ 58.30.  (Buy was 7/17 @ 58.78) Sold @ 58.30, loss=.82%

SNDK- hold short position.  Lower the buy-stop to 17.05.(Sell was 7/17 @ 17.63)

AA- hold long position.  (Buy was 7/18 @ 33.70)

CWTR- hold short position.  (Sell was 7/21 @ 6.64)

DELL- Hold short position. (Sell was 7/21 @24.42)

OVTI- sell at the open for a new short position. Sold @ 11.70.

TRADES FOR 7/21

PWE- hold long position.  Place a sell-stop @ 29.34.(Buy was 7/16 @ 30.31)

PGH- hold long position. Place a sell-stop @ 17.61. (Buy was 7/16 @ 18.12)

KBH- hold short position. Place a buy-stop @ 18.54. (Sell was 7/17 @ 17.27)

SNDK- hold short position.  Place a buy-stop @ 18.50.(Sell was 7/17 @ 17.63)

PBR- hold long position.  (Buy was 7/17 @ 58.78)

AA- hold long position.  (Buy was 7/18 @ 33.70)

CWTR- sell at the open for a new short position.  Sold @ 6.64.

DELL- sell at the open for a new short position.  Sold @ 24.42.

TRADES FOR 7/18/08

BIG- hold long position, raise the sell-stop to 29.07.  (Buy was 7/15 @ 26.71) Sold @ 29.07, Profit=8.84%

PWE- hold long position.  (Buy was 7/16 @ 30.31)

PGH- hold long position.  (Buy was 7/16 @ 18.12)

KBH- hold short position.  (Sell was 7/17 @ 17.27)

SNDK- hold short position.  (Sell was 7/17 @ 17.63)

PBR- hold long position.  (Buy was 7/17 @ 58.78)

AA- buy at the open for a new long position.  Bot @ 33.70.

TRADES FOR 7/17

INTC- hold short position, keep the buy-stop @21.15.(Sell was 7/14 @ 21.02)Bot at the open@21.25, loss=1.09%

BIG- hold long position, raise the sell-stop to 27.48.  (Buy was 7/15 @ 26.71)

PWE- hold long position.  (Buy was 7/16 @ 30.31)

PGH- hold long position.  (Buy was 7/16 @ 18.12)

KBH- sell at the open for a new short position. Sold @ 17.27.

SNDK- sell at the open for a new short position. Sold @ 17.63.

PBR- buy @ 58.78 for a new long position.  Bot @ 58.78.

KO- sell @ 52.60 for a new short position.  Didn’t happen, high was 51.36.

TRADES FOR 7/16

FXP- hold long position, raise the sell-stop to 84.08.  (Buy was 7/11 @ 81.50) Sold @ 84.08, Profit=3.17%

INTC- hold short position, keep the buy-stop @ 21.15.  (Sell was 7/14 @ 21.02)

BIG- hold long position, place a sell-stop @ 26.03.  (Buy was 7/15 @ 26.71)

PWE- buy at the open for a new long position.  Bot @ 30.31.

PGH- buy at the open for a new long position.  Bot @ 18.12.

TRADES FOR 7/15

PGH- hold long position, keep  the sell-stop @ 18.23. (Buy was 7/8 @ 17.91) Sold @ 18.23, Profit=1.76%.

GSK- hold short position,lower the buy-stop to 47.55.(Sell was 7/9 @ 48.05)                                                             Bot at the open @ 47.77, Profit=1.04%

FXP- hold long position, place a sell-stop @ 78.09.  (Buy was 7/11 @ 81.50)

INTC- hold short position, place a buy-stop @ 21.15.  (Sell was 7/14 @ 21.02)

BIG- buy at the open for a new long position.  Bot at the open @ 26.71.

TRADES FOR 7/14

PGH- hold long position, keep  the sell-stop @ 18.23. (Buy was 7/8 @ 17.91)

GSK- hold short position, lower the buy-stop to 48.08.  (Sell was 7/9 @ 48.05)

CMG- hold long position, place a sell-stop @ 69.73.  (Buy was 7/10 @ 78.26) Sold @ 69.73, Loss= 11.54%.

FXP- hold long position.  (Buy was 7/11 @ 81.50)

INTC- sell at the open for a new short position.  Sold @ 21.02.

TRADES FOR 7/11/08

CVX- hold long position. (average buy= 95.78)  Place a sell-stop @ 92.53.  Sold @ 92.53, loss= 3.39%

PGH- hold long position, raise the sell-stop @ 18.23. (Buy was 7/8 @ 17.91)

GSK- hold short position, place a buy-stop @ 48.94.  (Sell was 7/9 @ 48.05)

CMG- hold long position.  (Buy was 7/10 @ 78.26)

FXP – buy @ 81.50 for a new long position.  Bot @ 81.50.

TRADES FOR 7/10

CVX- hold long position. (average buy= 95.78)

BBY- hold long position, keep sell stop @ 39.08.  (Buy was 7/7 @ 39.14) sold @ 39.08, loss= .15%

PGH- hold long position, place a sell-stop @ 18.18. (Buy was 7/8 @ 17.91)

GSK- hold short position. (Sell was 7/9 @ 48.05)

CMG- buy @ 78.26 for a new long position.  Bot @ 78.26.

TRADES FOR 7/9

KSS- hold long position, raise the sell-stop to 43.09. (Buy was 6/27 @ 40.53) Sold @ 43.09, Profit= 6.32%

CVX- hold long position.  Add to long position with a buy @ 94.55. (First buy was 7/7 @ 97.00) Bot @ 94.55, Average buy= 95.78

BBY- hold long position, place a sell stop @ 39.08.  (Buy was 7/7 @ 39.14)

PGH- hold long position. (Buy was 7/8 @ 17.91)

GSK- sell @ 48.05 for a new short position.  Sold @ 48.05.

TRADES FOR 7/8

KSS- hold long position, raise the sell-stop to 42.46. (Buy was 6/27 @ 40.53)

NUE- hold long position, place a sell stop @ 62.76.  (Buy was 7/3 @ 61.70) Sold @ 62.76, Profit= 1.72%

CVX- hold long position.  (Buy was 7/7 @ 97.00)

BBY- hold long position.  (Buy was 7/7 @ 39.14)

PGH- buy @ 17.91 for a new long position.  Bot @ 17.91.

TRADES FOR 7/7

JCP- buy @ 35.89.  Didn’t happen, low was 36.52.

KSS- hold long position, place a sell-stop @ 41.26. (Buy was 6/27 @ 40.53)

NUE- hold long position, add to position with a buy @ 60.46.  (First buy was 7/3 @ 61.70) Additional buy didn’t happen, low was 62.76.

CVX- buy a call option, December expiration, 95 strike price, or buy the stock @ 97.00.  Bot @ 97.00.

BBY- buy @ 39.14 for a new long position.  Bot @ 39.14.

TRADES FOR 7/3 (markets close at 10AM PST)

NUE- buy @ 61.70 for a new long position.  Bot @ 61.70.

KSS- hold long position. (Buy was 6/27 @ 40.53)

HNT- hold long position, place a sell-stop @ 24.98.  (Buy was 7/1 @ 24.00)  Sold at the open @ 23.12,Loss=3.67%

BBY- buy @ 38.68 for a new long position.  Didn’t happen, low was 39.14.

JCP- buy @ 34.90 for a new long position.  Didn’t happen, low was 35.89.

ANN- buy @ 23.33 for a new long position.  Bot @ 23.33.

TRADES FOR 7/2

KSS- hold long position. (Buy was 6/27 @ 40.53)

HNT- hold long position.  (Buy was 7/1 @ 24.00)

BBY- buy @ 38.68 for a new long position. Didn’t happen, low was 39.55.

JCP- buy @ 34.90 for a new long position.  Didn’t happen, low was 35.98.

ANN- buy @ 22.90 for a new long position.  Didn’t happen, low was 23.33.

TRADES FOR 7/1

CIG- hold long position, place a sell-stop @ 24.18. (Buy was 6/25 @ 23.30). Sold @ 24.18, Profit= 3.78%

KSS- hold long position. (Buy was 6/27 @ 40.53)

HNT- buy @ 24.01 for a new long position. (Bot at the open @ 24.00)

 

TRADES FOR 6/30

CIG- hold long position, place a sell-stop @ 23.79. (Buy was 6/25 @ 23.30).

KSS- hold long position. (Buy was 6/27 @ 40.53)

TRADES FOR 6/27

CIG- hold long position.  (Buy was 6/25 @ 23.30).

SNE- hold long position,keep the sell-stop @ 45.12.(Buy was 6/26 @ 45.66)Sold at the open @ 44.35, loss=2.87%

KSS- buy @ 40.53 for a new long position.  Bot @ 40.53.

SNDK- place a buy-stop @ 20.33 for a new long position.  Didn’t happen, high was 19.90,

F – place a buy-stop @ 5.16 for a new long position.    Didn’t happen, high was 5.12.

OI – place a buy-stop @ 46.50 for a new long position.  Didn’t happen, high was 44.22.

TRADES FOR 6/26

NOK- hold long position, raise the sell-stop to 25.94.  (Buy was 6/24 @ 24.50)  Sold @ 25.94, Profit= 5.88%

CIG- hold long position.  (Buy was 6/25 @ 23.30).

SNE- hold long position, place a sell-stop @ 45.12. (Buy was 6/26 @ 45.66)

OI- place a  buy stop @ 46.51 for a new long position.  Didn’t happen, high was 46.50

WMB- buy @ 38.82 for a new long position.  Didn’t happen, low was 38.90

TRADES FOR 6/25

NOK- hold long position, place a sell-stop @ 24.16. (Buy was 6/24 @ 24.50)

CIG- buy with a sell-stop @ 23.30 for a new long position.  Bot @ 23.30.

JCP- buy @ 36.20 for a new long position.  Didn’t happen, low was 36.77.

SNE- buy @ 45.66 for a new long position.  Bot @ 45.66.

INTC- buy @ 22.18 for a new long position.  Didn’t happen, low was 22.42.

TRADES FOR 6/24

HAS- hold short position, lower buy-stop to 37.60  (Avg sell was 6/5 @ 37.37)  Bot @ 37.60, Loss= .83%

JASO- hold long position, sell @ 20.16 to close.  (Buy was 6/12 @ 18.91) Sold @ 20.16, profit= 6.61%

AUO- hold long position, place a sell-stop @ 16.23.  Sold at the open @ 15.97, loss= 1.6%

NOK- place a buy-stop @ 24.50 for a new long position.  Bot @ 24.50.

TRADES FOR 6/23

HAS- hold short position, lower buy-stop to 38.00  (Avg sell was 6/5 @ 37.37)

JASO- hold long position.  (Buy was 6/12 @ 18.91)

MSFT- hold long position.  (Buy was 6/20 @ 28.33)

AUO- buy @ 16.25 for a new long position.  Bot @ 16.25.

TRADES FOR 6/20

HAS- hold short position, place a buy-stop @ 38.33.  (Avg sell was 6/5 @ 37.37)

JASO- hold long position.  (Buy was 6/12 @ 18.91)

MSFT- buy @ 28.33 for a new long position.  Bot @ 28.33.

TRADES FOR 6/19

HAS- hold short position.  (Avg sell was 6/5 @ 37.37)

JASO- hold long position.  (Buy was 6/12 @ 18.91)

DELL- hold short position, keep the buy-stop @ 24.29. (Sell was 6/16 @ 24.31)  Bot @ 24.29, Profit=.08%

MCO- buy @ 37.16 for a new long position.

F- place a buy-stop @ 6.42 for a new long position.  Didn’t happen, high was 6.35.

TRADES FOR 6/18

HAS-  hold short position. (Avg sell was 6/5 @ 37.37)

JASO- hold long position. (Buy was 6/12 @ 18.91)

DELL- hold short position, place a buy-stop @ 24.29. (Sell was 6/16 @ 24.31)

RTN- hold long position, place a sell-stop @ 57.98. (Buy was 6/13 @ 57.63)  Sold @ 57.98, Profit= .61%

TRADES FOR 6/17

HAS- hold short position. (Avg sell was 6/5 @ 37.37)

JASO- hold long position.  (Buy was 6/12 @ 18.91)

DELL- hold short position.  (Sell was 6/16 @ 24.31)

RTN- hold long position. (Buy was 6/13 @ 57.63)

TRADES FOR 6/16

HAS- hold short position. (Avg sell was 6/5 @ 37.37)

JASO- hold long position.  (Buy was 6/12 @ 18.91)

SNDK- sell at the open.  (Buy was 6/13 @ 24.02).  Sold @ 24.67, Profit= 2.71%

DELL- place a sell-stop @ 24.31 for a new short position.  Sold @ 24.31.

RTN- hold long position. (Buy was 6/13 @ 57.63)

TRADES FOR 6/13

HAS- hold short position. (Avg sell was 6/5 @ 37.37)

JASO- hold long position.  (Buy was 6/12 @ 18.91)

SNDK- place a buy-stop @ 24.02 for a new long position.  Bot @ 24.02.

DELL- place a sell-stop @ 23.73 for a new short position.  Didn’t happen, low was 23.77.

RTN- place a buy-stop @ 57.38 for a new long position.  Bot at the open @ 57.63.

TRADES FOR 6/12

MR- hold short position, lower buy-stop to 38.64. (Sell was 6/2 @ 41.70)  Bot @ 38.64, Profit= 7.34%

HAS- hold short position. (Avg sell was 6/5 @ 37.37)

ESV- sell @ 80.20 for a new short position.  Didn’t happen, high was 78.83.

NOK- buy @ 25.33 for a new long position  Didn’t happen, low was 25.50.

JASO- buy @ 18.91 for a new long position.  Bot @ 18.91.

TRADES FOR 6/11

DY- hold short position, lower buy-stop to 16.93. (Avg sell was 5/30 @ 17.00)  Bot @ 16.93, Profit=.41%.

MR- hold short position, lower buy-stop to 39.94. (Sell was 6/2 @ 41.70)

HAS- hold short position. (Avg sell was 6/5 @ 37.37)

AUY- hold short position, place a buy-stop @ 14.25.(Sell was 6/9 @ 14.47)Bot at the open @ 14.28,Profit= 1.31%

PNY- buy @ 25.22 for a new long position.  Didn’t happen, low was 25.33.

TRADES FOR 6/10

DY- hold short position, place a buy-stop @ 16.95. (Avg sell was 5/30 @ 17.00)

IMA- place a buy @ 36.24 to close position. (Avg sell was 6/5 @ 37.06) Bot @ 36.24, Profit=2.21%

MR- hold short position, lower buy-stop to 40.16. (Sell was 6/2 @ 41.70)

HAS- hold short position.  (Avg sell was 6/5 @ 37.37)

FFIV- place a buy @ 29.69 to close position.  (Sell was 6/5 @ 30.24) Bot @ 29.64, Profit =1.85%.

AUY- place a sell-stop @ 15.05 for a new short position.  Sold at the open @ 14.47.

TRADES FOR 6/9

DY- hold short position. (Avg sell was 5/30 @ 17.00)

IMA- hold short position.   (Avg sell was 6/5 @ 37.06)

MR- hold short position, lower buy-stop to 41.13.  (Sell was 6/2 @ 41.70)

HAS- hold short position.  (Avg sell was 6/5 @ 37.37)

FFIV- hold short position.  (Sell was 6/5 @ 30.24)

ARD- buy @ 50.95 to close short position.  (Sell was 6/6 @ 52.80)  Bot @ 50.95, Profit= 3.5%

NOK- buy @ 26.08 for a new long position.  Didn’t happen, low was 26.19.

TRADES FOR 6/6

DY- hold short position. (Avg sell was 5/30 @ 17.00)

IMA- hold short position. (Avg sell was 6/5 @ 37.06)

MR- hold short position, place a buy-stop @ 41.47. (Sell was 6/2 @ 41.70)

HAS- hold short position.  (Avg sell was 6/5 @ 37.37)

FFIV- hold short position. (Sell was 6/5 @ 30.24)

ARD- sell @ 52.80 for a new short position.

TRADES FOR 6/5

DY- hold short position. (Avg sell was 5/30 @ 17.00)

IMA- hold short position, sell @38.00 to add to position.(Sell was 5/30 @ 36.13)Sold @ 38, Avg sell= 37.06

MR- hold short position. (Sell was 6/2 @ 41.70).

INTC- hold long position, place a sell-stop @ 23.45. (Buy was 6/3 @ 23.30)  Sold @ 23.45, Profit=.64%

HAS- hold short position, place a sell-stop @ 38.34 to add to position.  (Sell was 6/4 @ 36.40)                                  Sold @ 38.34, Avg sell= 37.37,

FFIV- place a sell-stop @ 30.24 for a new short position.  Sold @ 30.24.

TRADES FOR 6/4

DY- hold short position. (Avg sell was 5/30 @ 17.00)

BHI- hold short position, place a buy-stop @ 86.19. (Sell was 5/28 @ 88.67)  Bot @ 86.19, Profit= 2.8%.

IMA- hold short position.

MR- hold short position. (Sell was 6/2 @ 41.70).

INTC- hold long position.

HAS- place a sell-stop @ 36.49 for a new short position.  Sold @ the open @ 36.40.

TRADES FOR 6/3

DY- hold short position. (Avg sell was 5/30 @ 17.00)

BHI- hold short position. (Sell was 5/28 @ 88.67)

IMA- hold short position.  (Sell was 5/30 @ 36.13)

MR- hold short position. (Sell was 6/2 @ 41.70).

INTC- place a buy-stop @ 23.22 for a new long position.  Bot at the open @ 23.30.

TRADES FOR 6/2/08

CVLT- hold long position, place a sell-stop @ 17.22.  (Buy was 5/21 @ 16.90) Sold @ 17.22, Profit= 1.89%

DY- hold short position. (Avg sell was 5/30 @ 17.00)

GERN- hold long position, place a sell-stop @ 4.20. (Buy was 5/27 @ 3.99)  Sold @ 4.20, profit- 5%

BHI- hold short position.  (Sell was 5/28 @ 88.67)

IMA- hold short position.  (Sell was 5/30 @ 36.13).

MR- place a sell-stop @ 41.70 for a new short position.  Sold @ 41.70.

TRADES FOR 5/30

CVLT- hold long position. (Buy was 5/21 @ 16.90)

DY- add to short position with a sell-stop @ 17.11. (Sell was 5/27 @ 16.89)  Sold short @ 17.11.  (Average sold price is 17.00)

GERN- hold long position, place a sell-stop @ 4.00.  (Buy was 5/27 @ 3.99)

BHI- hold short position. (Sell was 5/28 @ 88.67)

IMA- place a sell-stop @ 36.13 for a new short position.  Sold short @ 36.13.

TRADES for 5/29

AIZ- hold long position, raise sell-stop to 68.24. (Buy was 5/15 @ 67.90) Sold at the open @ 68.21, Profit= .46%

CVLT- hold long position.  (Buy was 5/21 @ 16.90)

DY- hold short position.  (Sell was 5/27 @ 16.89)

MAR- sell @ 33.50 (Buy was 5/27 @ 33.72)  Sold @ 33.50, Loss= .65%

GERN- hold long position. (Buy was 5/27 @ 3.99)

BHI- hold short position.  (Sell was 5/28 @ 88.67)

IMA- place a sell-stop @ 34.50 for a new short position.  Didn’t happen, low was 34.80.

TRADES FOR 5/28

AIZ- hold long position, place a sell-stop @ 67.66.

CVLT- hold long position.

DY- hold short position.

MAR- hold long position.

GERN- hold long position

BHI- place a sell-stop @ 88.67 for a new short position.  Sold @ 88.67.

TRADES FOR 5/27/08

AIZ- hold long position(Buy was 5/15 @ 67.90)

CVLT- hold long position (Buy was 5/21 @ 16.90)

DY- place a sell-stop @ 16.89 for a new short position.  Sold @ 16.89

MAR- place a buy-stop @ 33.72 for a new long position.  Bot @ 33.72.

GERN- place a buy-stop @ 3.99 for a new long position.  Bot @ 3.99.

TRADES FOR 5/23

AIZ- hold long position (Buy was 5/15 @ 67.90)

CVLT- hold long position.  (Buy was 5/21 @ 16.90)

DY- place a sell-stop @ 16.00 for a new short position.  Didn’t happen, low was 16.03.

GERN-place a buy-stop @ 4.03 for a new long position.  Didn’t happen, high was 4.02.

DSX- place a buy-stop @ 35.50 for a new long position.  Didn’t happen, high was 34.03.

TRADES FOR 5/22

AIZ- hold long position. (Buy was 5/15 @ 67.90)

QID- hold long position, place a sell-stop @ 39.87. (Buy was 5/19 @ 38.24) Sold @ 39.87, Profit= 4.09%.

CVLT- hold long position, place a buy-stop @ 16.54 to add to your position.  Didn’t happen, high was 16.52.

TRADES FOR 5/21

AIZ- hold long position. (Buy was 5/15 @ 67.90)

GSK- hold long position, raise the sell-stop to 44.91. (Buy was 5/16 @ 44.27) Sold at the open @ 44.67, Profit= .90%

QID- hold long position.  (Buy was 5/19 @ 38.24)

BBBY- hold short position, place a buy-stop @ 32.55.  (Sell was 5/20 @ 32.25)  Bot @ 32.55, Loss= .93%

CVLT- place a buy-stop @ 16.90 for a new long position.  Bot at  16.90.

DXD- place a sell-stop @ 50.33 for a new short position.  Didn’t happen, low was 51.03.

TRADES FOR 5/20

MCO- hold long position, raise the sell-stop to 44.65.(Buy was 5/9 @ 39.43)Sold @ 44.65, Profit= 13.24%

AIZ- hold long position. (Buy was 5/15 @ 67.90)

GSK- hold long position, keep the sell-stop @ 44.13.

QID- hold long position.  (Buy was 5/19 @ 38.24)

BBBY- place a sell-stop @ 32.43 for a new short position.  Sold at the open @ 32.25.

Trades for 5/19

MCO- hold long position, keep the sell-stop @ 42.72. (Buy was 5/9 @ 39.43)

AIZ- hold long position. (Buy was 5/15 @ 67.90)

WYE- hold short position, place a buy-stop @ 44.16. (Sell was 5/15 @ 44.28) Bot at the open @ 44.24, Profit= .18%

GENZ- hold long position, place a sell-stop @ 68.59. (Buy was 5/16 @ 70.05) Sold @ 68.59, Loss= 2.08%.

GSK- hold long position, place a sell-stop @ 44.13.  (Buy was 5/16 @ 44.27)

QID- place a buy-stop @ 38.24 for a new long position       (This is a long position in an index of short stock positions))  Bot @ 38.24.

TRADES FOR 5/16

MCO- hold long position, keep the sell-stop @ 42.72. (Buy was 5/9 @ 39.43)

AIZ- hold long position. (Buy was 5/15 @ 67.90)

WYE- hold short position.  (Sell was 5/15 @ 44.28)

GENZ- place a buy-stop @ 69.99 for a new long position.  Bot at the open @ 70.05.

GSK- place a buy-stop @ 44.08 for a new long position.  Bot at the open @ 44.27.

TRADES FOR 5/15/08

MCO- hold long position, raise the sell-stop to 42.72. (Buy was 5/9 @ 39.43)

VLO- hold long position, raise the sell-stop to 47.00. (Buy was 5/12 @ 45.24)  Sold @ 47.00, Profit=3.9%

URRE- place a buy-stop @ 4.50 for a new long position. Didn’t happen, high was 4.40.

AIZ- place a buy-stop @ 67.90 for a new long position.  Bot @ 67.90.

ICOC- place a buy-stop @ 7.45 for a new long position.  Didn’t happen, high was 7.25.

WYE- place a sell-stop @ 44.39 for a new short position.  Sold @ 44.28 at the open.

TRADES FOR 5/14

MCO- hold long position, raise the sell-stop to 42.15. (Buy was 5/9 @ 39.43)

VLO- hold long position, keep sell-stop @ 45.89. (Buy was 5/12 @ 45.24)

FFIV- hold short position, place a buy-stop @ 27.96.  Bot @ 27.96, loss= 1.12%

ENER- place a sell-stop @ 53.64 for a new short position.  Didn’t happen, low was 53.80.

TRADES FOR 5/13

MCO- hold long position, place a sell-stop @ 40.65.  (Buy was 5/9 @ 39.43)

VLO- hold long position, place a sell-stop @ 45.89.  (Buy was 5/12 @ 45.24)

RIMM- place a sell-stop @ 138.86 for a new short position. Didn’t happen, low was 139.17.

FFIV- place a sell-stop @ 27.65 for a new short position.  Sold @ 27.65.

TRADES FOR 5/12

ECLP- hold short position, keep buy-stop @ 20.99. (Sell was 5/7 @ 21.93)  Bot @ 20.99, Profit= 4.29%

DDS- hold short position, lower buy-stop to 18.99. (Sell was 5/7 @ 20.61)  Bot @ 18.99, Profit= 7.86%

HPC- hold short position, place a buy-stop @ 19.47.  Bot @ 19.47, Loss= .83%

MCO- hold long position.

VLO- place a buy-stop @ 45.24 for a new long position.  Bot @ 45.24.

TRADES FOR 5/9

ECLP- hold short position, lower buy-stop to 20.99. (Sell was 5/7 @ 21.93)

DDS- hold short position, lower buy-stop to 19.36. (Sell was 5/7 @ 20.61)

HPC- place a sell-stop @ 19.40 for a new short position.  Sold at the open @ 19.31.

MCO- place a buy-stop @ 39.43 for a new long position.  Bot @ 39.43.

TRADES FOR 5/8

EDU- hold short position, lower buy-stop to 74.63. (Sell was 5/6 @ 75.95)  Bot @ 74.63, Profit= 1.74%

ECLP- hold short position, place a buy-stop @ 21.38.  (Sell was 5/7 @ 21.93)

DDS- hold short position, place a buy-stop @ 20.45.  (Sell was 5/7 @ 20.61)

C- place a buy-stop @ 25.20 for a new long position.  Didn’t happen, high was 24.80.

TRADES FOR 5/7

LVS- hold long position, place a sell-stop @ 74.25. (Buy was 5/6 @ 73.52) Sold at the open @ 74.18, Profit= .9%

EDU- hold short position, place a buy-stop @ 75.39.  (Sell was 5/6 @ 75.95)

MATK- hold short position, place a buy-stop @ 34.82.  (Sell was 5/6 @ 35.01)  Bot @ 34.82, Profit= .54%

ECLP- place a sell-stop @ 21.93 for a new short position.  Sold @ 21.93.

DDS- place a sell-stop @ 20.61 for a new short position.  Sold @ 20.61.

TRADES FOR 5/6

INFY- hold short position, place a buy-stop @ 44.77 (Sell was 44.80)  Bot @ 44.77, profit= .07%

LVS- place a buy-stop @ 73.52 for a new long position.  Bot @ 73.52.

FCX- place a sell-stop @ 113.91 for a new short position.  Didn’t happen, low was 114.15.

EDU- place a sell-stop @ 75.95 for a new short position.  Sold @ 75.95.

MATK- place a sell-stop @ 35.36 for a new short position. Sold at the open @ 35.01.

TRADES FOR 5/5

DDS- hold long position, raise sell-stop to 20.88 (Buy was 4/29 @ 20.94) Sold @ 20.88, loss=.3%

MAR- hold long position, raise the sell-stop to 36.41. (Buy was 4/30 @ 35.16) Sold @ 36.41, Profit=3.56%

LVS- place a buy-stop @ 74.41 for a new long position.  Didn’t happen, high was 73.56.

CVLT- place a buy-stop @ 12.51 for a new long position.  Didn’t happen, high was 12.35.

INFY- place a sell-stop @ 44.80 for a new short position.  Sold @ 44.80.

TRADES FOR 5/1

ESLR- hold long position, raise the sell-stop to 8.47. (Buy was 4/28 @ 8.72) Sold @ 8.47, loss= 2.87%

DDS- hold long position, place a sell-stop @ 20.85. (Buy was 4/29 @ 20.94)

MAR- hold long position, place a sell-stop @ 35.14. (Buy was 4/30 @ 35.16)

ECLP- place a sell-stop @ 21.18 for a new short position.  Didn’t happen, low was 21.38.

KSS- place a sell-stop @ 47.00 for a new short position.  Didn’t happen, low was 49.08

TRADES FOR 5/1

ESLR- hold long position, place a sell-stop @ 8.42 (Buy was 4/28 @ 8.72)

DDS- hold long position.  (Buy was 4/29 @ 20.94)

MAR- hold long position. (Buy was 4/30 @ 35.16)

TUES- place a buy-stop @ 5.55 for a new long position.  Didn’t happen, high was 5.54.

 

TRADES FOR 4/30

ESLR- hold long position. (Buy was 4/28 @ 8.72)

DDS- hold long position.

ENER- hold short position, place a buy-stop @ 32.58.  Bot @ 32.58, sell was 4/29 @ 32.75, profit= .52%.

MAR- place a buy-stop @ 35.16 for a new long position.  Bot @ 35.16.

TRADES FOR 4/29

ESLR- hold long position. (Buy was 4/28 @ 8.72)

DDS- place a buy-stop @ 20.94 for a new long position.  Bot @ 20.94.

EJ- place a sell stop @ 15.91 for a new short position.  Didn’t happen, low was 16.10.

ENER- place a sell-stop @ 32.75 for a new short position.  Sold @ 32.75.

TRADES FOR 4/28

C- hold long position, raise sell-stop to 26.41 (Buy was 4/23 @ 25.17) Sold @ 26.41, Profit= 4.93%

CMCSA- hold short position, place a buy-stop @ 19.65. (Sell was 4/24 @ 19.65) Bot @ 19.65, Profit=0%

MR- hold short position, place a buy-stop @ 34.26. (Sell was 4/25 @ 34.41) Bot @ 34.26, Profit= .44%

ESLR- place buy-stop @ 8.72 for a new long position.  Bot @ 8.72.

TRADES FOR 4/25

C- hold long position, place a sell-stop @ 25.32. (Buy was 4/23 @ 25.17)

CMCSA- hold short position. (Sell was 4/24 @ 19.65)

DDS- place a buy-stop @ 21.66 for a new long position.  Didn’t happen, high was 21.38.

ESLR- place a buy-stop @ 9.29 for a new long position.  Didn’t happen, high was 8.98.

MR- place a sell-stop @ 34.41 for a new short position.  Sold @ 34.41.

TRADES FOR 4/24

DDS- hold short position, lower buy-stop to 20.12. (Sell was 4/21 @ 22.32) Bot at the open @ 20.26, Profit= 9.23%.

C- hold long position.

CMCSA- place a sell-stop @ 19.65 for a new short position.  Sold @ 19.65.

ECLP= place a sell-stop @ 19.65 for a new short position.  Didn’t happen, low was 20.00.

ESLR- place a buy-stop @ 9.38 for a new long position.  Didn’t happen, high was 9.18.

TRADES FOR 4/23

USTR- hold short position, lower the buy-stop to 44.21. (Sell was 4/11 @ 48.66) Bot @ 44.21, Profit=9.15%

DDS- hold short position, place a buy-stop @ 21.66. (Sell was 4/21 @ 22.32)

GFIG- hold long position, place a sell-stop @ 10.97. (Buy was 4/22 @ 11.07) Sold @ 10.97, Loss= .9%

WFC- hold long position, place a sell stop @ 29.23. (Buy was 4/22 @ 29.59). Sold @ 29.23, Loss= 1.22%

C- place a buy-stop @25.17 for a new long position. Bot @ 25.17.

TRADES FOR 4/22

FFIV- hold long position, raise sell-stop to 21.77. (Buy was 4/8 @ 18.09) Sold @ 21.77,Profit= 20.34%

USTR- hold short position, lower the buy-stop to 45.88. (Sell was 4/11 @ 48.66)

DDS- hold short position. (Sell was 4/21 @ 22.32)

GFIG- place a buy-stop @ 10.97 for a new long position.  Bot at the open @ 11.07.

WFC- place a buy-stop @ 29.59 for a new long position.  Bot @ 29.59.

TRADES FOR 4/21

FFIV- hold long, raise the sell-stop to 20.79 (Buy was 4/8 @ 18.09)

USTR- hold short position, lower the buy-stop to 47.76. (Sell was 4/11 @ 48.66)

DDUP- hold long position, place a sell-stop @ 21.72.(Buy was 4/18 @ 21.35) Sold @ 21.72, profit= 1.73%

MNST- hold long position.Raise the sell-stop to 23.16.(Buy was 4/15 @ 22.54)Sold@23.16, profit= 2.75%

CMCSA-hold long position, keep the sell-stop @ 20.15.(Buy was 4/16@19.90)Sold@20.15,profit=1.26%

DDS- place a sell-stop @ 22.32 for a new short position.  Sold @ 22.32.

TRADES FOR 4/18

FFIV- hold long, maintain sell-stop @ 19.00.

USTR- place a buy-stop @ 49.79.  (Sell was 4/11 @ 48.66)

DDUP- place a buy-stop @ 20.88.  Bot at the open @ 21.35.

MNST- hold long position, maintain sell-stop @ 22.45.  (Buy was 4/15 @ 22.54)

CMCSA- raise the sell-stop to 20.15.  (Buy was 4/16 @ 19.90)

HPC- place a sell-stop @19.48 for a new short position.  Didn’t happen, low was 20.16.

TRADES FOR 4/17

FFIV- raise the sell-stop to 19.00 (Buy was 4/8 @ 18.09)

USTR- hold short position

DDUP- hold long position.

MNST- place a sell-stop @ 22.45.

CMCSA- place a sell-stop @ 19.92

TRADES FOR 4/16

FFIV- place a sell-stop @ 18.50.

USTR- hold short position

DDUP- lower the buy-stop to 20.88 for a new long position.  Bot @ 20.88.

MNST- hold long position

CMCSA- place a buy-stop @ 19.90 for a new long position.  Bot @ 19.90.

TRADES FOR 4/15

FFIV- hold long position

USTR- hold short position

DDUP- place a buy-stop @ 22.37 for a new long position.  Didn’t happen, high was 21.91.

MNST- place a buy-stop @ 22.54 for a new long position.  Bot @ 22.54.

TRADES FOR 4/14

FFIV- hold long position

USTR- place a buy- stop @ 49.31.  Didn’t happen. High was 49.13.

INFY- place a buy-stop @ 36.43.  Bot @ 36.43, loss= 2.65%

TRADES FOR 4/11

LDK- place a sell-stop @ 32.01.  Sold at the open @ 31.60, loss= 2.56%

FFIV- place a sell stop @ 18.73  (Buy was 4/8 @ 18.09) Didn’t happen, low was 18.75.

USTR- place a sell-stop @ 48.69.  Sold at the open @ 48.66.

CROX- place a buy-stop @ 18.55 for a new long position.  Didn’t happen, high was 18.31.

INFY- place a sell-stop @ 36.07 for a new short position.  Sold at the open @ 35.49.

TRADES FOR 4/10

LDK- place a buy-stop @ 32.43 for a new long position.  Bot @ 32.43.

FFIV- hold long position

USTR- place a buy-stop @ 48.49 for a new long position.  Bot @ 48.49.

CROX- place a buy-stop @ 19.58 for a new long position.  Didn’t happen, high was 19.20,

LCC- place a buy-stop @ 9.33.  Didn’t happen, high was 9.25.

TRADES FOR 4/9

CROX- place a sell-stop @ 19.94.  Sold @ 19.94, profit= 21.22%

RBN- hold long position.

FFIV- hold long position

HAL- buy at the open to close short position.  Bot @ 42.09. Sell was 4/8 @ 41.35, loss= 1.76%

USTR- place a sell-stop @ 48.62 for a new short position.  Sold @ 48.62.

TRADES FOR 4/8

ESLR- raise the sell-stop to 10.75. (Buy was 3/31 @ 9.19)  Sold at the open @ 10.54. Profit= 14.69%

ELX- lower the buy-stop to 14.80. (Sell was 4/3 @ 16.49) Bot @ 14.80, Profit= 10.25%

CROX- place a sell-stop @ 18.77. (Buy was 4/3 @ 16.45)  Didn’t happen, low was 18.80.

RBN- hold long position.  (Buy was 4/4 @ 34.08)

FFIV- place a buy-stop @ 18.09 for a new long position.  Bot @ 18.09.

HAL- place a sell stop @ 41.35 for a new short position.  Sold short @ 41.35.

TRADES FOR 4/7

MHO- place a sell-stop @ 19.19 (Buy was 3/26 @ 17.16) Sold @ 19.19, profit= 11.83%

ESLR- raise the sell-stop to 10.33. (Buy was 3/31 @ 9.19)

ELX- lower the buy-stop to 15.94.  (Sell was 4/3 @ 16.49)

CROX- hold long position.   (Buy was 4/3 @ 16.45)

RBN- hold long position.

FFIV- place a buy-stop @ 18.68 for a new long position.  Didn’t happen, high was 18.44.

TRADES FOR 4/4

MHO- hold long position

ESLR- place a sell-stop @ 9.93  (Buy was 3/31 @ 9.19)

IMA- sell @ 31.75.  (Buy was 4/2 @ 31.79)  Sold @ 31.75, Loss=  nil.

ELX-  place a buy-stop @ 16.73.  Didn’t happen, high was 16.72.

CROX- hold long position.

RBN- buy @ 34.08.  Bot @ 34.08.

TRADES FOR 4/3

MHO- hold long position

ESLR- hold long position

IMA- hold long position

BHI- place a sell-stop @71.27 for a new short position.  Didn’t happen, low was 71.33.

ELX- place a sell-stop @ 16.70 for a new short position.  Sold at the open @ 16.49.

CROX- place a buy-stop @ 16.45 for a new long position.  Bot @ 16.45.

TRADES FOR 4/2

MHO- hold long position.  (Buy was 3/26 @ 17.16)

ESLR- hold long position with sell-stop @ 9.18. (Buy was 3/31 @ 9.19).

IMA- place a buy-stop @ 31.12 for a new long position.  Bot at the open @ 31.79.

BHI- place a sell-stop @ 69.45 for a new short position.  Didn’t happen, low was 69.61.

ELX- place a sell-stop @ 16.47 for a new short position.  Didn’t happen, low was 16.48.

TRADES FOR 4/1

SAFM- lower buy-stop to 38.27.  Bot at the open @ 38.73.  Sell was 3/25@ 40.77, Profit= 5%.

MHO- hold long position

ELX- hold short position with the buy-stop @ 16.44.  Sell was 3/28 @ 16.74.  Bot @ 16.44, Profit= 1.79%.

ESLR- place a sell-stop @ 9.18.

IMA- buy @ 29.65.  Didn’t happen, low was 30.00.

 

TRADES FOR 3/31

SPWR- raise the sell-stop to 73.42.  Sold at the open @ 73.10.  Buy was Mar 18 @ 56.67, Profit= 28.99%.

SAFM- hold short position with the buy-stop @ 40.36  (Sell was 3/25@ 40.77)

AA- place a sell-stop @ 35.73.  Sold @ 35.73, Buy was 3/24 @ 35.20.  Profit= 1.51%

MHO- hold long position

ROK- hold short position with the buy-stop @ 57.29.  Bot at the open @ 57.13, Loss= 1.04%

ELX- place a buy-stop @ 16.44.

ESLR- buy at the open.  Bot @ 9.19.

TRADES FOR 3/28

SPWR- raise the sell-stop to 71.42.  (Buy was Mar 18 @ 56.67)

SAFM- lower buy-stop to 40.36.

AA- hold long position.  (Buy was 3/24 @ 35.20)

MHO- hold long position (Buy was 3/26 @ 17.16)

ROK- place a buy-stop @ 57.29  (Sell was 3/26 @ 56.70)

ELX- sell short @ 16.74.  Sold @ 16.74.

TRADES FOR 3/27

SPWR- raise the sell-stop to 69.69.

SAFM- place a buy-stop @ 40.73 (Sell was 40.77)

AA- hold long position.

MHO- hold long position

ROK- hold short position

TRADES FOR Mar 26

SPWR- raise the sell-stop to 69.38 (Buy was Mar 18 @ 56.67)

SAFM- hold short position.

AA- hold long position.  (Buy was 3/24 @ 35.20)

MHO- buy @ 17.16.  Bot @ 17.16.

ROK- place a sell-stop @ 56.70 for a new short position.  Sold @ 56.70.

TRADES FOR Mar 25

SPWR- raise the sell-stop to 64.79

SAFM- place a sell-stop @ 40.77 for a new short position.  Sold short @ 40.77.

AA- hold long position.

TRADES FOR Mar 24

SPWR- raise the sell-stop to 59.01

ELX- lower the buy-stop to 16.57 .  Bot @ 16.57.  Sell was Mar 18 @ 16.45.  Loss= .73%

IMA- place a sell-stop @ 27.23 for a new short position.  Didn’t happen, low was 27.75.

AA- place a buy-stop @ 35.20 for a new long position.  Bot @ 35.20.

TRADES FOR Mar 20

MHS- hold short position.

WAG- raise the sell-stop to 36.20.

SPWR- raise the sell-stop to 57.00

ELX- place a buy-stop @ 16.90.

TRADES FOR Mar 19

MHS- hold short position.  (Sell was 3/17 @ 42.63)

WAG- place a sell-stop @ 36.00 (Buy was Mar 17 @ 35.16)

SPWR- place a sell-stop @ 58.66 (Buy was Mar 18 @ 56.67)

ELX-  hold short position.

AIG- sell at the open for a new short position.

TRADES FOR Mar 18

MHS- hold short position.

WAG- hold long position.

SPWR- buy at the open for a new long position.  Bot @ 56.57.

ELX- sell at the open for a new short position.  Sold @ 16.45.

TRADES FOR Mar 17

TIE- buy at the open to close short position.  Bot @ 14.51, profit= 7.7%

MHS- sell at the close for a new short position.  Sold @ 42.63.

WAG- buy at the open or a new long position.  Bot @ 35.16,

TRADES FOR Mar 14

GR- buy at the open to close short position.  Bot @ 59.34, profit= 2.4%

TIE- place a sell-stop @ 15.72 for a new short position.  Sold @ 15.72. 

TRADES FOR Mar 13

CMCSA- buy at the open to close short position.  Bot @ 19.39, profit= 1.82%

GR- hold short position

TRADES FOR Mar 12

CMCSA-lower buy-stop to 19.77  (Sell was Mar 6 @ 19.75)  Didn’t happen, high was 19.73.

CPWR-  sell @ 7.62 (Buy was Mar 7 @ 7.49)  Sold @ 7.62, Profit= 1.74%

GR- sell short at the open for a new short position.  Sold @ 60.80.

TRADES FOR Mar 11

CMCSA- lower buy-stop to 19.84

CPWR- hold long position

DSX- place a buy-stop @ 26.77.  (Sell was Mar 7 @ 28.50.)  Bot at the open @ 26.98, profit= 5.33%.

PGH- hold short position

TRADES FOR Mar 10

CMCSA- place a buy-stop @ 19.88

CPWR- hold long position.

DSX- hold short position.

PGH- buy at the open for a new long position.  Bot @ 18.96.

TRADES FOR Mar 7

CMCSA- hold short position

CHIC- buy at the open to close short position.  Bot @ 19.00, Profit= 3.41%

BGC- buy at the close to close short position.  Bot @ 56.64, Profit= 8.05%.

CPWR- buy at the open for a new long position.  Bot @ 7.49.

DSX- sell at the open for a new short position.  Sold @ 28.50.

TRADES FOR Mar 6

HPC- sell at the open.  Sold @ 18.52, profit= 1.37%

BGC-sell at the open for a new short position.  Sold @ 61.60

CHIC- sell at the open for a new short position.  Sold @ 19.67. 

CMCSA- sell at the open for a new short position.  Sold @ 19.75.

TRADES FOR Mar 5

PAYX- buy at the open to close short position.  Sell was 2/27 @ 32.72.  Bot @ 31.87, Profit= 2.67%.

MANT- buy at the close to close short position.  Sell was 3/3 @ 43.17.  Bot @ 43.73, Loss = 1.3%

HPC- hold long position.  Buy was Mar 4 @ 18.27.

TRADES FOR   Mar 4

PAYX- hold short position

GR- buy at the open to close short position.  Bot @ 58.50. Sell was 2/28 @ 61.64.  Profit= 4.61%.

CMI- buy at the close to close short position.  Bot @ 48.91.  Sell was 2/29 @ 52.12.  Profit= 6.16%.

MANT- hold short position.

HPC- buy at the open for a new long position.  Bot @ 18.27.

TRADES FOR 3/3

AOB- sell at the close to close long position.  Buy was 2/26 @ 9.53.  Sold @ 10.50, profit = 10.2%

PAYX_ hold short position.  Sell was 2/27 @ 32.72.

GR- hold short position.  Sell was 2/28 @ 61.64

AA- sell at the close close long position.  Buy was 2/28 @ 38.61.  Sold @ 38.32, loss= .75%

CMI- hold short position.  Sell was 2/29 @ 52.12.

MANT- sell at the open for a new short position.  Sold @ 43.17

 

TRADES FOR 2/29

AOB- hold long position

PAYX- hold short position

GR- hold short position

AA- hold long position

CMI- sell at the open for a new short position.  Sold @ 52.12.

TRADES FOR 2/28

AOB- hold long position.

PAYX- hold short position.

GR- sell at the open for a new short position.  Sold @ 61.64.

AA- buy at the open for a new long position.  Bot @ 38.61.

TRADES FOR 2/27

EXM- sell at the open to close long position.  Sold @ 34.55(Buy was 2/22 @ 36.82) Loss= 6.57%.

FE-sell at the open to close long position.  Sold @ 71.26. (Buy was 2/22 @ 69.98) Profit= 1.83%.

GR- sell at the open to close long position.  Sold @ 62.04. (Buy was 2/22 @ 60.18) Profit= 3.09%

AOB- hold long position

PAYX- sell at the open for a new short position.  Sold @ 32.72.

TRADESFOR 2/26

EXM- hold long position.

FE- hold long position.

GR- hold long position.

JCI- Sell at the open to close position.  Sold @ 34.99, profit= 3.7%

TIE- sell at the open to close position. Sold @ 24.77, profit= 2.4%

AOB- buy at the open for a new long position. Bot @ 9.53.

TRADES FOR 2/25

EXM- hold long position.  (Buy was 2/22 @ 36.82)

FE- hold long position.  (Buy was 2/22 @ 69.98)

GR- hold long position.  (Buy was 2/22 @ 60.18)

ISRG- place a sell-stop @ 287.50.  Sold @ 287.50, profit= .125%

JCI- hold long position.  Buy was 2/22 @ 33.74)

TIE- place a buy-stop @ 24.00 for a new long position. Bot at the open @ 24.19.

TRADES FOR 2/22

EXM- place a buy-stop @ 36.80 for a new long position.  Bot @ 36.82 at the open.

FE- place a buy-stop @ 69.58 for a new short position.  Bot at the open @ 69.98.

GR- place a buy-stop @ 59.90 for a new short position.  Bot at the open @ 60.18.

ISRG- place a buy-stop @ 285.64 for a new short position.  Bot at the open @ 287.14.

JCI- place a buy-stop @ 33.75 for a new short position.  Bot @ the open @ 33.74.

TRADES FOR  2/21

AAPL- place a sell stop @ 122.75  (Buy was 2/8 @ 123.01) Sold @ 122.05, loss = .78%

PCP-  place a buy-stop @ 117.65  (Sell was 2/14 @ 116.35)  Bot @ 117.65, loss= 1.11%

PNM- place s sell-stop @ 13.08  (Buy was 2/19 @ 13.66) Sold @ 13.08, loss = 4.24%

CMI- place a sell-stop @ 51.84.  (Buy was 2/20 @ 52.68)  Sold @ 51.84, loss= 1.59%

TRADES FOR 2/20

AAPL- hold long position

PCP- place a buy-stop @ 118.15 to close short position.  Didn’t happen, high was 118.00.

GPS- place a buy-stop @ 19.61 to close short position.  Bot @ 19.61.  Profit= 1.31%

BBBY- place a buy-stop @ 28.45 to close short position. Bot @ 28.45, Profit= 7.36%.

PNM- hold long position.

CMI- place a buy-stop @ 52.68 for a new long position.  Bot @ 52.68.

TRADES FOR 2/19

AAPL- hold long position  (Buy was 2/8 @ 123.01)

PCP- hold short position.  (Sell was 2/14 @ 116.35)

GPS- hold short position.  (Sell was 2/13 @ 19.87)

BBBY- place a buy-stop @ 29.52.  Didn’t happen, high was 28.86. (Short sell was 2/14 @ 30.71)

CMI- place a buy-stop @ 51.37.  Bot  at the open @ 51.87, Sell was 2/14 @51.50, Loss= .72%.

PNM- place a buy-stop @ 13.57. Bot at the the open @ 13.66.

TRADES FOR 2/15

AAPL- hold long position (Buy was 2/8 @ 123.01)

PCP- hold short position.  (Sell was 2/14 @ 116.35)

GPS- hold short position. (Sell was 2/13 @ 19.87)

BBBY- place a buy-stop @ 30.42.  (Sell was 2/14 @ 30.71)

CMI- place a buy-stop @ 51.99.  (Sell was 2/14 @51.50)  Didn’t happen, high was 51.56.

LIFC- place a buy-stop @ 39.08 for a new long position.  Didn’t happen, high was 38.70.

Trades for 2/14

PAYX- raise sell-stop to 34.14. (Buy was 2/8 @ 32.23)  Sold @ 34.01 (at the open), Profit= 5.52%

AAPL- hold long position (Buy was 2/8 @ 123.01)

AA- place a buy-stop @ 34.06 to close position.  Bot @ 34.06, sell was 2/13 @ 32.23, Loss= 5.68%.

PCP- place a sell-stop @ 116.35 for a new short position.  Sold @ 116.35.

GPS- hold short position.

BBBY- place a sell-stop @ 30.71 for a new short position.  Sold @ 30.71.

CMI- place a sell-stop @ 51.50 for a new short position. Sold @ 51.50.

Trades for 2/13

PAYX- raise the sell-stop to 32.84. (Buy was 2/8 @ 32.23)

AAPL- hold long position. (Buy was 2/8 @ 123.01)

AA- hold short position.  (Sell was 2/12 @ 33.67)

PCP- place a sell-stop @ 113.60 for a new short position.  Didn’t happen, low was 114.63.

GPS- place a sell-stop @ 19.87 for a new short position.  Sold @ 19.87.

BBBY- place a sell-stop @ 30.56 for a new short position.  Didn’t happen, low was 30.61.

TRADES FOR 2/12

PAYX- place a sell-stop @ 32.24  (Buy was 2/8 @ 32.23)

AAPL- hold long position.  (Buy was 2/8 @ 123.01)

CMI- Raise sell-stop to 49.94.  (Buy was 2/7 @ 48.17) Sold @ 49.94, profit= 3.67%

AA- place a sell-stop @ 33.67 for a new short position.  Sold @ 33.67.

PCP- place a sell-stop @ 108.77 for a new short position.  Didn’t happen, low was 111.52.

GPS- place a sell-stop @ 19.72 for a new short position.  Didn’t happen, low was 19.80.

TRADES FOR 2/11

PAYX- hold long position

AAPL- hold long position

CMI- place a sell-stop @ 48.49 (Buy was 2/7 @ 48.17)

AA- place a sell-stop @ 33.06 for a new short position.  Didn’t happen, low was 33.29.

PCP- place a sell-stop @ 107.38 for a new short position. Didn’t happen, low was 107.59.

TRADES FOR 2/8

PAYX- place a buy-stop @ 32.23 for a new long position.  Bot @ 32.23.

AAPL- place a buy-stop @ 123.01 for a new long position.  Bot @ 123.01.

BBBY- place a sell-stop @ 29.69.  Sold @ 29.69, Buy was 2/7 @ 29.88, Los= .64%

CMI- hold long position.

AA- place a sell-stop @ 32.34 for a new short position.  Didn’t happen, low was 32.37.

TRADES FOR 2/7

LEH- lower the buy-stop to 59.14.  Bot @ 59.14, closing the short-sale (Sell was @ 63.24) Profit= 6.48%.

LIFC- place a buy-stop @ 39.57 for a  new long position.  Didn’t happen, high was 39.33.

PAYX- place a buy-stop @ 32.47 for a new long position.  Didn’t happen, high was 32.36.

AAPL- place a buy-stop @ 126.96 for a new long position.  Didn’t happen, high was 124.78.

BBBY- place a buy-stop @ 29.88 for a new long position.  Bot @ 29.88.

CMI- place a buy stop @ 48.17 for a new long position.  Bot @ 48.17.

TRADES FOR 2/6

LEH- Pace a buy-stop @ 61.36. Didn’t happen, high was 60.10. (average sell= 63.24)

LCC- lower buy-stop to 14.77.  Bot @ 14.77, Sell was 13.76 (average), Loss= 7.34%

BBBY- lower the buy-stop to 30.12.  Bot @ 30.12.  Sell was 2/4 @ 32.04, Profit= 8.39%

LIFC- place a buy-stop @ 40.78 for a new long position.  Ddn’t happen, high was 40.30.

PAYX-place a buy-stop @ 32.99 for a new long position.  Didn’t happen, high was 32.94.

TRADES FOR 2/5

LEH- hold short position.

LCC- place a buy-stop @ 15.23

BBBY- place a buy-stop @ 31.57

PAYX- place a sell-stop @ 33.44. Didn’t happen, high was 33.35

TKR- place a sell-stop @ 30.67 for a new short position.  Didn’t happen, high was 30.63

PCLN- place a sell-stop @ 105.43 for a new short position.  Didn’t happen, high was 104.97.

TRADES FOR 2/4

LEH- place a sell-stop @ 64.28 to add to short position.  Sold @ 64.26, average sell= 63.24.

LCC- place a sell-stop @ 14.39 to add to short position.  Sold @ 14.39, average sell= 13.67

BBBY- place a sell-stop @ 32.04 for a new short position.  Sold short @ 32.04.

PAYX- place a buy-stop @ 34.04 for a  new long position. Bot @ 34.04.

TKR- place a sell-stop @ 30.26 for a new short position.  Didn’t happen, low was 30.35.

TRADES FOR 2/1

CMI- place a buy-stop @ 48.92.  (Sold short on 1/29 @ 49.23) Bot @ 48.92, Profit= .63%

LEH- hold short position

PAYX-  lower the buy-stop to 32.80 (Sold short on 1/30 @ 34.00) Bot at the open @ 33.53, Profit= 1.38%

AAPL- place a sell-stop @ 132.38 (Buy long was 1/31 @ 131.81) Sold at 132.38, Profit = .33%

LCC- hold short position

BGP place a sell-stop @ 10.92 for a new short position.  Didn’t happen, low was 11.00

 

TRADES FOR 1/31

CMI- hold short position

LEH- place a sell-limit @ 62.23 for a new short position.  Sold short @ 62.23.

LCC- hold short position

PAYX- place a buy-stop @ 33.82. (Sold short on 1/30 @ 34.00)

AAPL- place a buy-stop @ 133.81 for a new long position  Bot @ 131.81

TRADES FOR 1/30

CSCO- place a buy-stop @ 24.18.  Bot @ 24.18, Loss= .001% (3 cents)

CMI- hold short position

LEH- place a sell-stop @ 61.14 for a new short position.  Didn’t happen, low was 61.88.

LCC- place a sell-stop @ 12.96 for a new short position. Sold short @ 12.96

PAYX- place a sell-stop @ 34.00 for a new short position.  Sold short @ 34.00

TRADES FOR 1/29

CSCO- hold short position

CMI- place a sell-stop @ 49.23 for a new short position.  Sold @ 49.23.

LEH- place a sell stop @ 58.77 for a new short position.  Didn’t happen, low was 59.75.

LCC- place a sell-stop @ 12.76 for a new short position.  Didn’t happen, low was 12.82.

TRADES FOR 1/28

AA- raise the sell-stop to 30.62.  Sold @ 30.27 at the open, profit= 4.13%

HAL- place a sell-stop @ 32.93.  Sold @ 32.93, loss= 2.37%

CSCO- place a sell-stop @ 24.15 for a new short position.  Sold @ 24.15.

CMI- place a sell-stop @ 47.94 for a new short position.  Didn’t sell, low was 48.49.

TRADES FOR 1/25

AA- raise the sell-stop to 30.10  (Buy was 1/23 @ 29.07)

SMTC- place a sell-stop @ 12.64.  Sold @ 12.64, profit= 3.18%.

AOB- place a sell-stop @ 9.16. Sold @ 9.16, profit = .99%

HAL- place a buy-stop @ 32.69 for a new long position.  Bot at the open @ 33.73

TRADES FOR 1/24

PNY- place a sell-stop @ 25.44  Sold @ 25.44.  Buy was 26.68, loss = 4.65%.

AA – place a sell-stop @ 28.82

SMTC- place a sell-stop @ 12.25.

AOB- place a sell-stop @ 8.88.

LCC- place a sell-stop-limit @ 12.73 Sold @ 12.73, buy was 1/23 @ 12.53, profit= .02%

ZRAN- place a sell-stop @ 15.71 for a new short position. Didn’t happen, low was 16.02.

TRADES FOR 1/23

PNY- hold position

AA- lower the buy-stop to 29.07.  Bot @ 29.07

IMA- lower the buy-stop to 53.58 for a new long position.  Didn’t happen, high was 53.04.

SMTC- lower the buy-stop to 12.16 for a new long position.  Bot @ 12.16.

AOB- lower buy-stop to 9.07 for a new long position.  Bot @ 9.07

LCC- place a buy-stop-limit @ 12.53.  Bot @ 12.53

TRADES FOR 1/22 (Jan 21 is a market holiday)

PNY- hold position

AA- lower the buy-stop to 29.61. Didn’t happen, high was 29.14.

IMA- place a buy-stop @ 55.93 for a new long position.  Didn’t happen, high was 54.98.

SMTC- place a buy-stop @ 12.37 for a new long position.  Didn’t happen, high was 12.31.

AOB- place a buy-stop @ 9.69 for a new long position.  Didn’t happen, high was 9.15.

LCC- place a sell-stop @ 12.74 for a new short position.  Sold at the open @ 12.26

TRADES FOR 1/18

PNY – hold position

AA – lower the buy-stop to 30.82 (Sell was 1/15 @ 32.49)

IMA- place a buy-stop at 59.55 for a new long position. Didn’t happen, high was 55.93.

SMTC- place a buy-stop @ 12.63 for a new long position.  Didn’t happen, high was 12.58.

AOB- place a buy-stop @ 9.76 for a new long position.  Didn’t happen, high was 9.71.

CYMI- place a sell-stop @ 33.17 for a new short position. Didn’t happen, low was 33.23.

TRADES FOR 1/17

MO- lower the buy-stop to 78.38  Bot at the open @ 79.00, loss= .04%

PNY- hold position

AA- lower the buy-stop to 31.31 (Sell was 1/15 @ 32.49)

IMA- place a buy-stop @ 59.66 for a new long position. Didn’t happen, High was 59.55.

SMTC- place a buy-stop @ 12.85 for a new long position.  Didn’t happen, high was 12.80.

AOB- place a buy-stop @ 9.89 for a new long position.  Didn’t happen, high was 9.88.

TRADES FOR 1/16

MO- lower the buy-stop to 78.76. (Sell was 1/14 @ 78.97)

PNY- place a buy-stop @ 26.68.  Bot @ 26.68.

AA- place a buy-stop @ 32.55.

IMA- Place  buy-stop @ 60.18 for a new long position.  Didn’t happen, high was 60.14

SMTC- place a buy-stop @ 13.14 for a new long position. Didn’t happen, high was 12.91

TRADES FOR 1/15

EVVV- raise the sell-stop to 10.12.  Sold at the open @ 10.09, Profit = .6%

PBG- lower buy-stop to 40.94.  Bot @ 40.94, Profit= .9%

MO- place a buy-stop @ 79.06

PNY- place a sell-stop @ 26.65 for a new short position.  Sold @ 26.65.

AA- place a sell-stop @ 32.49 for a new short position.  Sold @ 32.49.

TRADES FOR 1/14

EVVV- raise the sell-stop to 10.05 (Buy was 1/09 @ 10.03)

RTN-  place a buy-stop @ 61.44.  Bot @ 61.44, Loss= 2.16%

PBG- place a buy-stop @ 41.21.  (Sell was 1/10 @ 41.31)

MAC- place a buy-stop @ 62.89 for a new long position.  Didn’t happen, high was 62.70.

MO- place a sell-stop @ 78.97 for a new short position.

TRADES FOR 1/11

EVVV- raise the sell-stop to 9.96

BHI- place a buy-stop @ 79.63. Bot @ 79.63, Sell was  1/09 @ 78.86, Loss= .98%.

RTN- hold short position

PBG- hold short position

MAC- place a buy-stop @ 62.76 for a new long position. Didn’t happen, high was 62.57.

TRADES FOR 1/10

KONG- lower the buy-stop to 5.96.  Bot @ 5.96, profit= 9.7%.

EVVV- place a sell-stop @ 9.85

BHI- hold short position

RTN- hold short position

PBG- place a sell-stop @ 41.31 for a new short position.  Sold @ 41.31.

TRADES FOR 1/9

KONG- lower the buy-stop to 6.20 (Sell was 1/04 @ 6.60)

EVVV- buy at 10.03.  Bot @ 10.03

BHI- sell at 78.86 for a new short position.  Sold @ 78.86

DOW- sell at 38.74 for a new short position.  Didn’t happen, high was 37.74.

RTN- sell at 60.14 for a new short position

TRADES FOR 1/8

VLO- lower buy-stop to 64.25.  Bot @ 64.25, Profit= 8.76%

TOC- lower buy-stop to 39.74.  Bot @ the open @ 39.86, Profit= 2.45%.

KONG- lower the buy-stop to 6.30

XLNX- place a buy-stop @ 20.69 for a new long position.  Didn’t happen, high was 20.66

PNY- place a buy-stop @ 26.31 for a new long position. Didn’t happen, High was 26.24.

TRADES FOR 1/07

VLO- lower buy stop to 65.00.

TOC- place a buy-stop @ 40.57 (Sell was 12/27 @ 40.86)

TRMS- place a buy-stop @ 6.76.  Bot @ 6.76, profit= 5.06%

KONG- place a buy-stop @ 6.60.

UA-place a sell-stop @ 41.00 for a new short position.  Didn’t happen, low was 41.36

TRADES FOR 1/04

VLO- place a buy-stop @ 66.19 (Sell was 12/24 @ 70.42)

TOC- hold short position

TRMS- place a buy-stop @ 7.12  (Sell was 1/02 @ 7.14)

KONG- place a sell-stop @ 6.89 for a new short position.  Sold at the open @ 6.60.

TRADES FOR 1/3

VLO- hold short position

TOC- hold short position (Sell was 12/27 @ 40.86)

T- place a buy stop to close short @ 41.71  (Sell was 12/31 @ 42.39)  Bot @ 41.71, Profit= 1.6%.

TRMS- hold short position

AKNS- place a sell-stop @ 11.24 for a new short position.  Didn’t happen, low was 11.50.

TRADES FOR 1/2/2008

VLO- hold short position (Sell was 12/24 @ 70.42)

TOC- hold short position

T- hold short position

TRMS- sell short @ 7.14.  Sold @ 7.14.

HAPPY NEW YEAR!  Markets are closed January 1, 2008

 

TRADES FOR 12/31

VLO- hold short position

TOC- hold short position (Sell was 12/27 @ 40.86)

T- sell short @ 42.24. Sold at the open @ 42.39.

TRADES FOR 12/28

VLO- hold short position (Sell was 12/24 @ 70.42)

ESV- place a buy-stop @ 60.05 (Sell was 12/26 @ 60.25)  Bot at the open @ 60.44, Loss= .32%.

TOC- hold short position

MDCO- sell short @ 19.76.  Didn’t happen, high was 19.53.

TRADES FOR 12/27

VLO- hold short position

ESV- hold short position.

TOC- sell short @ 40.86.  Sold @ 40.86.

TRADES FOR 12/26

YHOO- raise sell-stop to 23.88.  Sold @ 23.88, Profit= 3.51%

CSC- place a sell-stop @ 51.69  (Buy was 12/21 @ 51.50)  Sold @ 51.69, Profit= .37%.

VLO- hold short position

ESV- sell @ 59.79 for a new short position.  Sold at the open @ 60.25.

TRADES FOR 12/24  (Markets close at 10J)AM PST)

YHOO- raise stop-sell to 23.81  (Buy was 12/18 @ 23.07)

CSC- hold long position

VLO- place a sell-stop @ 70.56 for a new short position.   Sold at the open @ 70.42.

TRADES FOR 12/21

YHOO- place a sell-stop @ 23.24.

CSC- buy @ the open.  Bot @ 51.50

ARO- place a sell-stop @ 27.05.

TRADES FOR 12/20

ARO- hold long position

YHOO- hold long position

MAR- place a sell-stop @ 33.11.  Sold @ 33.11.  Buy was 12/19 @ 32.19, profit= 2.86%.

TRADES FOR 12/19

ARO- hold long position. (Buy was 12/17 @ 26.17)

YHOO- hold long position.

MAR- buy @ 32.19  Bot @ 32.19

TRADES for 12/18

FIC- place a buy-stop at 34.90  Bot @ 34.90, Sell was 12/17, Profit= .34%

ARO- hold long position. 

GRRF- place a buy-stop @ 8.12  Bot @ 8.12, Sell was 12/14 @ 8.50,Profit= 4.47%

YHOO- buy @ 23.07.  Bot @ 23.07.

TRADES FOR 12/17

FIC- sell @ 35.02 for a new short position

ARO- buy @ 26.17 for a new long position

GRRF- hold short position

TRADES FOR 12/14

GRRF- sell short @ 8.33.  Sold at the open @ 8.50

TRADES FOR 12/13

ALOG- sell short @ 68.40.  Didn’t happen, high was 67.83.

AMAT- place a buy-stop @ 18.52 to open a new long position.  Didn’t happen, high was 18.48.

TRADES FOR 12/12

ALOG- sell short @ 69.61  Didn’t happen, high was 68.86

TRADES FOR 12/11

PDLI- raise sell-stop to 18.14   Sold @ 18.14, Buy was 1/3 @ 16.76, Profit= 8.23%

RIMM- raise sell-stop to 102.07   Sold @  102.07, Profit = 1.97%

AMAT- place a sell-stop @ 18.34.  Sold @ 18.34, Buy was 12/10 @ 18.20, Profit= .76%

TRADES FOR 12/10

PDLI- raise sell-stop to 17.97.

RIMM- place a sell-stop @ 101.35  (Buy was 12/6 @ 100.10)

AMAT- buy @ 18.20.  Bot @ 18.20.

XLNX- buy @ 22.28 Didn’t happen, low was 22.30.

TRADES FOR 12/7

PDLI-  place a sell-stop @ 17.47 (Buy was 12/4 @ 16.76)

RIMM- hold long position

ZRAN- buy @ 23.26  Didn’t happen- low was 23.62.

TRADES FOR 12/6

PDLI – hold long position

RIMM- buy @ 101.13.  Bot at the open @ 100.10.

TRADES FOR 12/5

CHIC- place a buy-stop @ 15.38. (Sell was  11/30 @ 16.20) Bot at the open @ 15.72, Profit= 2.96%

PDLI- hold long position

TRADES FOR 12/4

GRRF- hold long position, keep sell-stop @ 8.50 Stopped out @ 8.50,

                                                      Buy was 11/21 @ 7.63, Profit= 11.40%

TPX- place a sell-stop @ 29.98  (Buy was 11/27 @ 27.66)  Stopped out @ 29.98, Profit= 8.39%.

PBG- place a buy-stop @ 42.01 (Sell was 11/29 @ 42.95) Bot at the open @ 42.04, Profit= 2.12%

CHIC- hold short position

PDLI- buy @ 16.78

TRADES FOR 12/3

COP- place a sell-stop @ 79.27.  Stopped out, Buy was 11/8 @ 82.64, Loss= 4.08%

GRRF- raise the sell-stop to 8.50

SGP-raise sell-stop to 31.00 (Buy was 11/17 @ 28.77) Stopped out @ 31.00, Profit= 7.75%

TPX- hold long position (Buy was 11/27 @ 27.66)

INFY- raise sell-stop to 41.75  (Buy was 11/28 @ 39.25) Stopped out @ 41.75, Profit= 6.37%

PBG- hold short position

CHIC- hold short position

NOVEMBER TRADES

TRADES FOR 11/30

COP- hold long position

GRRF- place a sell-stop @ 8.25

LIFC- place a sell-stop @ 40.50.  Sols @ 40.50, buy was 11/26 @ 39.82, Profit= 1.71%

SGP- raise sell-stop to 30.25

TPX- hold long position

INFY- raise the sell-stop to 41.00

PBG- hold short position (Sell was 11/29 @ 42.95)

CHIC- sell short @ 15.90.  Sold at the open @ 16.20.

TRADES FOR 11/29

COP- hold long position

GRRF- hold long position   (Buy was 11/21 @ 7.63)

LIFC- hold long position, raise sell-stop to 40.50  (Buy was 11/26 @ 39.82)

SGP- hold long position, raise sell-stop to 29.75.   (Buy was 11/17 @ 28.77)

TPX- hold long position  (Buy was 11/27 @ 27.66)

INFY- hold long position, place a sell-stop @ 40.75 (Buy was 11/28 @ 39.25)

PBG- sell short @ 42.95

TRADES FOR 11/28

COP- hold long position

GRRF- hold long position

LIFC- hold long position, raise sell-stop to 40.25 (Buy was 11/26 @ 39.82)

SGP- place a sell-stop @ 28.85 (Buy was 11/17 @ 28.77)

TPX- hold long position

INFY- buy @ 39.25

TRADES FOR 11/27

COP- hold long losition

GRRF- hold long position (Buy was 11/21 @ 7.63)

LIFC- place a sell-stop @ 40.00

SGP- buy @ 28.77

TPX- buy @ 27.66

TRADES FOR 11/26

COP- hold long position

GRRF- hold long position. (Buy was 11/21 @ 7.63)

NCX- place a sell-stop @ 31.39  Sold @ 31.39, Profit= 1.55%

LIFC- buy @ 39.82

TRADES FOR 11/23  (Market closes @ 10AM PST)

COP- hold long position

DRYS- place a sell-stop @ 78.50. Sold @ 78.50.  Buy was 11/21 @ 77.45, Profit= 1.36%.

GRRF- hold long position

MS- buy @ 48.03.  Didn’t happen- low was 48.90.

NCX- buy @ 31.02.  Bot at the open @ 30.91.

TRADES FOR 11/21

COP- hold long position

DRYS- buy @ 77.45.  Bought @ the open:  75.40.

GRRF- buy @ 7.83.  Bought @ the open : 7.63

TRADES FOR 11/20

COP- hold long position

PH-lower buy-stop to 78.20.  Bot @ 78.20, Profit= 8.33%.

TRADES FOR 11/19

COP- hold long position

PH- lower buy-stop to 79.65  (Sell was 11/9 @ 85.31)

GS- sell @ 228.91 for a new short position, didn’t happen, high was 228.40

TRADES FOR 11/16

COP- hold long position

PH- place a buy-stop @ 81.25

TRADES FOR 11/15

COP- hold long position

PH- hold short position. (Sell was 11/9 @ 85.31)

TRADES FOR 11/14

CREE- lower buy-stop to 23.75. (Sell short was 11/7 @ 26.17) Bot @ 23.93, Profit= 8.56%.

LVS- raise sell-stop to 114.00  (Buy long was  11/9 @ 111.93) Sold @ 114, Profit= 1.85%.

COP- hold long position.

TRADES FOR 11/13

PH- place a buy-stop @ 82.00.  Didn’t happen, high was 81.49

CREE- hold short position, lower buy-stop to 24.00.

LVS- place a sell-stop @ 112.00

COP- hold long position

AMAT-place a buy-stop to open long position @ 19.00  Didn’t happen, high was 18.80.

TRADES FOR 11/12

BGC- buy @ the close.  Bot @ 69.48, Profit= 7.95 %

LVS- hold long position.

PH- hold short position

TRADES FOR 11/9

CREE- place a buy-stop @ 25.86 Didn’t happen.  (Sell was 11/7 @ 26.17.)

BGC sell short @ 75.48.  Sold @ 75.48.

LVS- buy @ 111.93

PH- sell short @ 85.31

Trades for 11/8

AYR- lower the buy-stop to 30.15  Bot @ 30.15, Profit= 7.40%.

AXP- lower the buy stop to 56.98 Bot @ 56.98, Profit= 5.30%.

PNY-  buy to close short @ 25.18.  Bot @ 25.18, Profit= .28%

COP- buy @ 82.72.  Bot @ the open @ 82.64.

TRADES FOR 11/7

AYR- lower buy-stop to 30.71  (Sell was 10/29 @ 32.56)

AXP- lower buy-stop to 57.25 (Sell was 11/1 @ 60.17)

DNA-  sell @ 75.05  (Buy was 11/5 @ 74.14, Profit= 1.21%)

PNY- sell @ 25.25

CREE- sell short @ 26.17.  Sold @ 26.17.

TRADES FOR 11/6

AYR- lower the buy-stop to 31.25

AXP- hold position with the 58.83 buy-stop.

DNA- hold long position.

PNY- buy @ 24.96.

TRADES FOR 11/6

AXP- lower the buy-stop to 58.83

AYR-lower the buy-stop to 31.50

BZH- lower the buy-stop to 10.16 Bot @ 10.16, Profit = 16.58%

GLBL- raise the sell-stop to 26.00  Sold @ 26, Profit= 7.04%.

DNA- hold position (Buy was 11/5 @ 74.14)

TRADES FOR 11/5

AXP- lower the buy-stop to 59.00

AYR- lower the buy-stop to 32.00.

BZH- lower the buy-stop to 11.00.

GLBL- raise sell-stop to 25.00

DNA- buy @ 74.14

TRADES FOR 11/2

ZRAN- lower the buy-stop to 25.06 (Sell was 10/29 @ 26.19) Closed short @ 25.06, Profit= 4.31%.

AXP- place a buy-stop @ 59.68 (sell was 11/1 @ 60.17)

AYR- place a buy-stop @ 32.42 (Sell was 10/29 @ 32.56)

BZH- place a buy-stop @ 11.70 (sell was 10/29 @ 12.18)

MRK- place a buy-stop @ 57.55 (Sell was 11/1 @ 57.75)  Closed short @ 57.55, Profit= .35%.

GLBL- place a sell-stop @ 24.29 (Buy was 11/1 @ 24.29)

MSFT- place a buy-stop @ 37.22 (Sell was 11/1 @ 37.37) Closed short @ 37.22, Profit= .40%

FPL- place a buy-stop @ 66.92 (Sell was 10/20 @ 66.97) Closed short @ 66.92, Profit= .07%.

TRADES FOR 11/1

ZRAN- place a buy-stop @ 26.15  (Sell was 10/29 @ 26.19)

AXP- sell short @ 60.17 sell-stop

GLBL- buy @ 24.29

MRK- sell short @ 57.75 sell-stop

MSFT- sell short @ 37.37

TRADES FOR 10/31

DDMX- place a buy-stop @ 29.78.  Bot, sell was 10/29 @ 29.95, Profit = .57%

TRADES FOR 10/30

EBAY- raise sell stop-loss to 36.29.  Sold @ 36.29, buy was 10/26 @ 35.82, Profit= 1.31%.

FPL- sell short @ the open.  Sold @ 66.97.

STJ- raise sell-stop to 39.93.  Sold @ 39.93, 10/24 @ 38.62, Profit= 3.39%

TRADES FOR 10/29

AYR- sell-short at the open. Open/Sell was 32.56.

DDMX- sell short @ the open.  Open/Sell was @ 29.95

BZH- sell short @ the open.  Open/Sold @ 12.18.

STJ- place a sell-stop  @ 39.55.

EBAY place a sell stop-loss @ 35.68.

ZRAN- sell short @ the open (Open/Sell was 26.19)

MMC- sell short @ 26.51 (Didn’t happen, high was 26.11)

TRADES FOR 10/26

EBAY- buy @ the open.  (Open/Buy was 35.82)

TRADES FOR 10/25

CEPH- stopped out @ 72.97.  Buy was 10/22 @70.43, profit= 3.61%.

TRADES FOR 10/24

CEPH- place a sell stop-loss @ 72.97.

STJ- buy long @ the open. (Open/Buy was 38.62)

DHR- lower GTC sell to close to 82.20.  Sold, buy was 10/12 @ 80.75, Profit= 1.8%

AAP- lower GTC sell to close to 33.01. Sold, buy was 10/19 @ 32.28, Profit= 2.26%

RTN- lower GTC sell to close to 65.50. Sold, buy was 10/22 @ 62.39, Profit= 4.98%

APD- buy long @ 93.59 Didn’t happen, low was 94.07)

BSC- buy long @ 113.88.

BZH- sell short @ 10.30. Didn’t happen, high was 10.06.

DDMX- sell short @ 29.69 Didn’t happen, high was 29.25.

TRADES FOR 10/23

DHR- lower GTC sell to close @ 83.65  Closed 10/24, Profit= 1.8%

AAP- buy@ 31.38 to add to position or initiate long position (Didn’t happen)

               Lower GTC sell to close to 33.75

CBI-  buy @ 41.08 to add to position or initiate long position (Didn’t happen)

               Lower Sell to close to 45.87.   Sold @ 45.87.  Buy was 10/19 @ 43.96, Profit= 4.34%)

RTN- buy @ 61.25 to add to position or initiate long position (Didn’t happen)

               Place a GTC sell to close @ 68.62

TRADES FOR 10/22

CEPH- buy @ the open.  Open/Buy was 70.43.

DHR- place a GTC sell order to close the long position @ 84.78.

AAP- place a GTC sell order to close the long position @ 35.50

CBI- place a GTC sell order to close the long position @ 48.35.

RTN- buy @ 62.39

TRADES FOR 10/19

AAP- buy @ 32.28

AMAT- buy back the short @ 20.16  Closed short position, sell was 10/18 @ 21.00, Profit= 4.17%)

COGO- sell short @ 22.46.  Didn’t happen.

CBI- buy @ 43.96

HAL- buy back short @ 40.22 (Sell was 10/15 @41.78, Profit= 3.73%)

TRADES FOR 10/18

AMAT- place a sell stop @ 21 for a new short position.   Sold short @ 21.

TRADES FOR 10/17

TRADES FOR 10/16

DO- place a stop-loss on your long position @ 115.00 (Buy was 10/10 @ 113.88) 

Sold @ 115, Profit= .98%.

TRADES FOR 10/15

ANF-close short position @ 81.26    (Sell was 10/4 @ 82.80, Profit= 1.86%)      

HAL- sell short @ 41.78   

TRADES FOR 10/12

DHR- buy @ 80.75

TRADES FOR 10/11

TRADES FOR 10/10

DO- buy long  @ 113.88

VLO- close long position @74.25 (Buy was 10/2 @ 67.57, Profit=9.89%)

AYR- close long position @ 32.48         (Buy was 10/3 @ 31.75, Profit= 2.30%)

TRADES FOR 10/9

CHIC- close long position @ 14.90 (Buy was 10/1 @ 14.97, Loss= .47%)

FRPT- close short- buy @ the open @ 23.35 (Sell was 10/5 @ 24.10, Profit= 3.11% )

TRADES FOR 10/8

TRADES FOR 10/5

DELL- close long position @ 27.85

 (Buys were 9/17 @ 26.30 & 9/10 @ 26.55 Profit based on avg buy= 5.42%).

EBAY- close short position @ 38.75 (Sell was 9/28 @ 39.02, Profit= .69%).

RTN- close short position @ 63.69

(Sells were 9/28 @ 63.82 & 10/2 @ 64.01, Profit based on avg sell= .34%)

ARAY- close short position @ 17.35 (Sell was 9/27 @ 17.64, Profit= 1.64%)

FRPT- sell short @ 24.10

TRADES FOR 10/4

ANF- sell short @ 82.80.

TRADES FOR 10/3

AYR- buy long 31.75

AMZN- close short position @ 92.26 (Sell was 9/26 @ 93.43, Profit= 1.27%).

TRADES FOR 10/2

VLO- buy long with a buy-stop @ 67.57

RTN- sell short/add to position @ 64.01   (Sell was 9/27 @ 63.82)

TRADES FOR 10/1/2007

FTEK- cancel buy-stop.

GOOG- cancel sell-stop.

AOB- close short position @ 11.46

(Sells were 9/25 @ 11.59 & 9/28 @ 11.04, Loss= 1.26% based on avg sell)

DNA- close short position @ 78.12            (Sell was 9/10 @ 79.15, Profit= 1.30%)

CHIC- buy long by putting a buy-stop @ 14.96.

EVVV- buy long /add to position @ 15.51.

TRADES FOR 9/28

AOB- place a sell stop @ 11.05 to short (also sold short 9/25 @ 11.59).

Transacted @ 11.04.

MSFT- close long position @ 29.46            (Buy was 8/17 @ 28.25, Profit=4.28%).

EBAY- sell short @ 39.02.

FTEK- lower buy-stop to 23.42.  Didn’t happen.

GOOG- raise the sell-stop to 562.89.  Didn’t happen.

FPL- close short position @ 60.88 (Sells were 9/19 @ 63.14 & 9/28 @ 62.02, Profit on avg sell= 2.72%)

TRADES FOR 9/27

ARAY- sell short @ 17.64

JNPR may be gaining strength, suggest a buy stop @ 36.03 just to be safe (Sell short was 9/13 @ 36.07).

               (Stopped out @ 36.03, Profit= .19%)

RTN- sell short @ 63.82.

FTEK- buy long with a buy-stop @ 24.25. Didn’t happen.

GOOG- place a sell-stop @ 560 to short (or to add to position).  Didn’t happen.

MMM- sell short @ 93.39.

ZUMZ- close short position @ 45.55 (sell was 9/19 @ 49.06, Profit= 7.15%).

 

TRADES FOR 9/26

AMZN- sell short @ 93.43.

RSH- cancel buy-stop, close position @ 20.59 (Sell was 9/19, Profit= 9.57%).

ARAY- close long @ 17.95 (Buy was 9/10, Profit= 31.98%).

INTC- close position @ 25.91 (Buys were 9/10 & 9/17, Profit based on avg buy= 3.23%).

RX- close long position @ 30.83 (Buy was 9/14, Profit= 7.27%).

ZRAN- close short position @ 45.24           (Sell was 9/19 @ 49.06, Profit= 7.79%).

 

TRADES FOR 9/25

AOB- sell short @ 11.59.

RSH- close short position @ 20.41 (Sell was 9/19 @ 22.77, Profit= 10.36%).

CPWR- close position @ 7.84       (Buy was 9/13, Profit= 4.12%).

MRK- close position @ 52.28        (Buy was 8/29, Profit= 4.73%).

 

TRADES FOR 9/24

MGI- close position at @ 21.11    (Buy was 8/29 & 9/10, Loss based on avg buy= .24%).

FPL- sell short @ 62.02 (adding to short 9/19 @ 63.14)

CTRN- close long position @ 23.50            (Buy was 8/10 & 8/31, Loss based on avg buy= 1.88%).

 

TRADES FOR 9/21

CROX- close short position @ 56.86     (Sell was 8/22 & 8/28, Profit= 1.47%).

T- sell short @   42.53.

TRADES FOR 9/20

CCK- close long position @ 23.72               (Buy was 9/13, Profit= 3.67%).

DWA- close long position @ 32.62             (Buy was 9/10 @ 31.66, Profit= 3.03%).

HOG- close long position @ 48.15              (Buys were 9/10 & 9/14, Profit= 2.16%).

ROK- close long position @ 70.24              (Buy was 8/17, Profit= 2.92%).

 

TRADES FOR 9/19

T- close long position @  41.58    (Buy was 8/29, Profit= 3.43%).

ZUMZ- sell short @ 49.06.

FPL- sell short @ 63.14.

RSH- sell short @ 22.77.

C- close long position @ 48.27     (Buy was 8/29, Profit= 2.81%).

HD- close long position @ 36.18  (Buy was 9/10, Profit= 7.01%).

LUV- close position @ 15.13         (Buys were 9/14 & 9/17, Profit based on avg buy= 4.78%).

 

TRADES FOR 9/18

AMD- close long position @ 13.30 (Buy was 8/17, Profit = 11.86%).

MOT- close short position @ 17.23 (Sell was 9/7 @ 17.13, Loss= .58%)

 

TRADES FOR 9/17/2007

DELL- buy long or add to position @ 26.30. (initial buy was 9/10 @ 26.55)

INTC- buy long/add to position @ 24.85.

LUV- buy long @ 14.61 (In case you didn’t buy it on Friday @ 14.26).

ANF- close short position @ 78.47 (Sell was 8/22, Loss= 1.08%).

RSH- close long position @ 22.10 (Buys were 8/7 & 9/10, Loss based on avg buy= 1.30%).

 

TRADES FOR 9/14

HOG- buy long @ 46.50.

LUV- buy long @ 14.26.

 

TRADES FOR 9/13

JNPR- sell short @ 36.07.

 

TRADES FOR 9/12

EVVV-close long position @ 16.46 (Buy was 8/20, 8/30, 9/4 Profit on avg buy= 4.97%).

 

TRADES FOR 9/11

 

TRADES FOR 9/10

DWA- buy long @ 31.66.

MGI- buy long/add to position @ 20.67.

HD- buy long @ 33.81.

DELL- buy long @ 26.55.

INTC- buy long @ 25.35.

HOG- buy long @ 47.46.

ARAY- buy long @ 13.60.

RSH- buy long/add to position @ 20.89.

DNA- sell short @ 79.15.

TRADES FOR 9/7

ARAY- buy long @ 13.60.

MOT- sell short @ 17.13

 

TRADES FOR 9/6

AMGN- close long position @ 52.01          (Buys were 8/10 & 8/17, Profit on avg buy= 3.85%).

 

TRADES FOR 9/5

INTC- close long position @ 25.99             (Buys were 7/19,7/30 & 8/1, Profit on avg buy= 6.95%).

 

TRADES FOR 9/4

EVVV- buy long /add to position @ 15.51.

August, 2007 trades

8/1         SHPGY- sell short @ 75.22.

               IBM- close short @ 112.04  (Sells were 7/20 &7/26, Profit based on avg sell= 2.99%).

SPSN- close short @ 10.51 (Sells were on 7/18 & 7/23, Profit on avg buy= 7.97%).    

INTC- buy long/add to position @ 23.80.                                             

CROX- sell short/add to position @ 58.58.             

8/2         CEPH- buy long/add to position @ 70.58.

               AOB- buy long @ 7.43.

8/3         AAP- close long @ 33.67 (Buy was on 7/20, Loss= 13.18%).

               MANT- sell short @ 34.68.

SHPGY- sell short/add to position @ 76.03.

8/6         BSC- buy long @ 113.81.

               CEPH- buy long @ 69.86.

8/7         AMGN- buy long @ 51.39.

               GERN- buy long @ 5.70.

               RSH- buy long/add to position @ 23.88.

8/8         MVIS- close short @ 4.93 (Sell was 7/25, Profit= 5.01%).

               RX- close long @ 31.20 (Buy was 7/23, Profit= 4.63%).

               PFE- close long @ 24.61 (Buy was 7/26, Profit= 1.95%).

               DWA- buy long @ 30.96.

8/9         EBAY- sell short @ 36.59.

               AMGN- close long @ 50.99 (buy was 8/7, Loss= .78%).

               ZUMZ- sell short @ 44.95.

               CCK- buy long @ 21.74

               LUV- sell short @ 16.60.

               ROK- buy long @ 66.88

               BSC- close long @ 114.05 (buy was on 8/6, Profit= .21%).

               AOB- close long position @ 9.07 (Buy was 8/2, Profit= 22.07%).

               HOG- close long position @ 57.92 (buy was 7/20,Loss = .50%).

8/10       SPSN- buy long @ 9.56

               AMGN- buy long @ 50.08.

               HD- buy long @ 35.92.

               AAP- buy long @ 31.80.

               ABC- buy long @ 45.56.

               ZRAN – buy long @ 17.10.

               SHPGY-close short @ 73.00 (Sells were 8/1 & 8/3, Profit= 3.46%).

               MANT- close short position @ 34.08 (Sell was 8/3, Profit= 1.73%).

               CTRN- buy long @26.15.

8/13       COGO- close long @ 15.08 (buy was on 7/19, Profit= 3.08%).         

VPHM- buy long @ 8.66

PFE- buy long @ 23.89.

CROX- close short @ 51.99 (sells were 7/30 & 8/1, Profit based on avg sell= 11.48%).

8/14       ZRAN- close long position @ 17.58 (Buy was 8/9, Profit= 2.81%).

               SHPGY- sell short @ 74.03.

8/15       ZUMZ- close short position @ 39.96 (Sell was 8/9, Profit= 11.10%).

               VPHM- buy long @ 8.01.

8/16       EBAY- close short position @ 33.64 (Sell was 8/9, Profit= 8.06%).

               LUV- close short position @ 15.17 (Sell was 8/9, Profit= 8.61%).

8/17       AMGN- buy long/add to position @ 50.08.

               AMD- buy long @ 11.89.

               AAP- buy long @ 31.68.

               ROK- buy long @ 68.25.

               AAPL- buy long @ 122.06.

               CROX- buy long @ 51.22.

               GOOG- buy long/add to position @ 500.04.

8/20       ANF- close long position @ 78.10 (Buy was 7/30, Profit= 12.46%).

               EVVV- buy long @ 16.26.

               COGO- sell short @ 16.56.

PFE- close long position @ 24.17 (Buy was 8/13, Profit= 1.17%).

C- close long position @ 48.39 (Buys were 7/25 & 7/30, Profit based on avg buy= 1.04%).

8/21       ABC- close long position @ 45.99 (Buy was 8/10, Profit= .94%).

               CROX- close long position @ 58.43 (Buy was 8/17, Profit= 12.34%).

8/22       KR- close long position @ 26.41 (Buy was 7/31, Profit= 1.73%).

               CROX- sell short @ 58.13.

               COGO- sell short/add to position @ 16.99.

               ANF- sell short @ 77.63.

               HPQ- sell short @ 46.58.

8/23       GERN- close long position @ 6.80 (Buy was 8/7, Profit= 19.30%).

               VPHM- close long position @ 9.79 (Buy was 8/15, Profit= 22.22%).

               TGT- close long position (Buy was 7/31, Profit= 2.38%).

               ZUMZ- sell short @ 45.86.

               AAPL- sell long position @ 131.07 (Buy was 8/17, Profit= 7.38%).

               SHPGY- sell short or add to position @ 75.97.

               DWA- sell long position @ 30.29 (Buy was 8/8, Loss= 2.16%).

               GOOG- close long position @ 512.19 (Buys were 7/23 & 8/17, Profit based on avg buy= 1.17%).

8/24       ABC- close long position @ 47.74 (Buy was 8/10, Profit= 4.78%).

8/27       KR- sell short @ 26.61.

8/28       EBAY- buy long @ 32.91.

               AAP- close long position @ 34.25 (Buy was 8/10 & 8/17, Profit based on avg buy= 7.91%).

               CROX- sell short/add to position @ 57.29.

8/29       RIMM- buy long @ 81.82.

               T- buy long @ 40.20.

               COGO- close short position @ 16.85 (sells were 8/22 & 8/27, Loss based on avg sell= .48%).

               KR- close short position @ 26.17 (sell was 8/27, Profit= 1.65%).

               KR- buy long @ 26.17.

CPWR- close short position @ 7.94 (Sell was 7/24, Profit= 23.28%).

               MGI- buy long @ 21.64.

               C- buy long @ 46.95.

               BSC- buy long @ 107.10.

               MVIS- buy long @ 4.80.

               MRK- buy long @ 49.92.

8/30       EVVV- buy long or add to position @ 15.27.

8/31       CTRN- buy long/add to position @ 21.74.

               MOT-  sell short using a sell-stop @ 16.67.

 

July 17- July 31/2007 trades

7/17       AMD- sell short @ 15.84 

               CTRN- sell short @ 39.02

7/18       INTC- sell short @ 24.95

               SPSN- sell short @ 11.30

               RSH- buy long @ 29.99

7/19       AMZN- buy long @ 73.35

               ARAY- buy long @ 18.09

               COGO- buy long @ 14.63

               CROX- buy long @ 45.90

               INTC- close short position  (Sell was yesterday, Loss=1.24% on the short)

7/20       MOT-sell short @ 17.95

               AAP- buy long @ 38.78

               HOG- buy long @ 58.21

7/23       RX-buy long @ 29.82

INTC- buy long @ 24.72

7/24       CPWR- sell short @ 10.35

               CEPH- buy long @ 78.93

7/25       IBM- sell short @ 118.10

               MVIS- sell short @ 5.19

7/26       AMZN- close long @ 84.01 (Buy was 7/19, Profit= 14.53%)

               CROX- close long @ 50.59 (Buy was 7/19, Profit= 10.22%)

PFE- buy long @ 24.15

GOOG- buy long @ 512.51

7/27       GOOG- close long @ 511.89 (Buy was yesterday, Loss= .12%)

GM- buy long @ 31.10

CTRN- close short @ 33.70 (Sell was 7/17, Profit= 13.63%)

7/30       ANF- buy long @ 69.45

CROX- sell short @ 57.04

MOT- close short @ 16.97 (Sell was 7/20, Profit= 5.46%)

7/31       TGT- buy long @ 60.57

MRK- buy long @ 49.65

KR- buy long @ 25.96

C- buy long @ 46.57

SHPGY- sell short @ 73.79

AMD-close short @ 13.54 (sell was 7/17, Profit= 14.52%)