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Strategies & Market Trends : Z PORTFOLIO

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To: Kelvin Taylor who wrote (4948)7/22/2000 1:48:01 PM
From: DanZ  Read Replies (2) of 11568
 
Status 7/21.

Z PORTFOLIO
Stock DATE SPONS. # Cost Cost $ % Close Close G/L G/L Days
Port $ $ % Held

ABIZ 6/26 ron 500 24.375 12188 0.6% 18.000 9000 -3188 -26% 26
ABIZ 6/29 ron 500 21.750 10875 0.6% 18.000 9000 -1875 -17% 23
ACRI 7/17 kelvin 2000 31.250 62500 3.8% 29.250 58500 -4000 -6% 5
AGIL 7/13 kelvin 1000 71.000 71000 4.1% 64.375 64375 -6625 -9% 9
AMES 6/30 ron 5000 7.750 38750 2.8% 8.563 42813 4063 10% 22
ANAD 7/19 kelvin 1000 40.125 40125 2.4% 38.000 38000 -2125 -5% 3
ARIA 7/14 dan 2000 11.688 23375 1.4% 11.125 22250 -1125 -5% 8
ATHM 6/14 larry 4000 19.000 76000 4.6% 17.750 71000 -5000 -7% 38
CELL 7/17 kelvin 5000 9.000 45000 3.0% 9.188 45938 938 2% 5
CLEC 6/29 sue 1000 15.125 15125 0.9% 14.688 14688 -438 -3% 23
CRFH 7/19 sue 3000 8.625 25875 1.6% 8.188 24563 -1313 -5% 3
CRN 6/15 paul z 5000 6.938 34688 2.1% 6.438 32188 -2500 -7% 37
GUMM var dan 10000 13.678 136775 7.8% 12.063 120625 -16150 -12%
IFMX 7/19 dan 8000 4.438 35500 2.4% 4.563 36500 1000 3% 3
INCY 2/10 john s 100 170.000 17000 0.6% 98.750 9875 -7125 -42% 162
INTV 4/19 dan 2000 16.500 33000 0.9% 7.000 14000 -19000 -58% 93
INTV 5/17 dan 2000 15.063 30125 0.9% 7.000 14000 -16125 -54% 65
INTV 6/6 dan 2000 14.000 28000 0.9% 7.000 14000 -14000 -50% 46
INTV 6/7 dan 5000 6.875 34375 2.3% 7.000 35000 625 2% 45
LMG.A 5/12 larry 3000 22.031 66094 4.8% 24.688 74063 7969 12% 70
MLNM var john s 400 121.250 48500 2.9% 113.500 45400 -3100 -6%
NEON 7/13 john s 1000 36.000 36000 2.3% 35.156 35156 -844 -2% 9
NEON 7/17 paul m 1000 33.500 33500 2.3% 35.156 35156 1656 5% 5
NOPT 6/22 larry 1000 53.250 53250 3.4% 52.563 52563 -688 -1% 30
ODP 7/18 bill 5000 6.575 32875 2.1% 6.563 32813 -63 0% 4
OXHP 5/31 larry 3000 19.813 59438 4.9% 25.188 75563 16125 27% 52
PUMA 6/26 kelvin 1000 27.625 27625 1.6% 24.938 24938 -2688 -10% 26
PUMA 6/30 kelvin 1000 25.625 25625 1.6% 24.938 24938 -688 -3% 22
QCOM 7/18 paul m 500 65.625 32813 2.0% 63.063 31531 -1281 -4% 4
QLGC 7/18 paul m 500 87.375 43688 2.8% 86.000 43000 -688 -2% 4
SHLL 1/14 rick 15000 2.250 33750 1.7% 1.750 26250 -7500 -22% 188
SLE 7/14 larry 3000 20.375 61125 3.8% 19.813 59438 -1688 -3% 8
SNDK 7/18 paul m 500 67.625 33813 2.3% 71.250 35625 1813 5% 4
SNDK 7/21 paul m 500 67.625 33813 2.3% 71.250 35625 1813 5% 1
SRV 5/22 bill 6000 3.250 19500 1.1% 2.938 17625 -1875 -10% 60
SRV 7/14 bill 6000 2.875 17250 1.1% 2.938 17625 375 2% 8
TRAC 5/11 sue 5000 1.813 9063 0.4% 1.219 6094 -2969 -33% 71
VISX 7/14 sue 1000 29.563 29563 1.7% 26.563 26563 -3000 -10% 8
VPHM 7/14 dan 1000 21.250 21250 1.4% 21.688 21688 438 2% 8
*** *** *** *** *** 1488806 90.1% 1397963 -90844 -6% 32.4

Portfolio Summary

Beg Balance 1/1/00 1319059
Plus Gains Realized 323331
Less Holdings at Cost 1488806
Equals Cash Balance 153584 9.9%
Plus Holdings At Close 1397963
Portfolio Balance 1551547

Portfolio Change YTD 17.63%

Beg Balance 1/1/99 500000
Change since 1/1/99 210.31%

YTD Change in Market Indices
DJIA -6.64%
Nasdaq +0.62%
S&P 500 +0.74%
Russell 2000 +3.56%
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