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Strategies & Market Trends : P&F Research

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To: wizzards wine who wrote (152)7/27/1998 8:28:00 PM
From: Mr. BSL  Read Replies (1) of 389
 
Hi Preston. My notes are excellent. I'll post them after I'm
done breaking out the portfolios.
This is $100K invested in "VL1&2MF1JULY98"

tick close #shares value
AMGN 74 9/16 67.058 $ 5000
OCR 38 11/16 129.241 $ 5000
PDCO 35 1/8 142.349 $ 5000
HDI 40 125.000 $ 5000
RCL 75 9/16 66.170 $ 5000
OAK 37 1/2 133.333 $ 5000
SLR 48 13/16 102.433 $ 5000
WMI 53 15/16 92.700 $ 5000
EFX 41 1/8 121.581 $ 5000
RHI 54 1/2 91.743 $ 5000
CEN 57 3/4 86.580 $ 5000
EMC 50 9/16 98.888 $ 5000
AZO 34 3/4 143.885 $ 5000
BBY 48 13/16 102.433 $ 5000
BDK 58 1/2 85.470 $ 5000
DHR 44 9/16 112.202 $ 5000
ADCT 33 5/8 148.699 $ 5000
ATI 64 1/16 78.049 $ 5000
CTL 48 5/8 102.828 $ 5000
ERICY 27 9/16 181.406 $ 5000

Control group to follow.
BTW, this is great timing with the OPTI reversing down.
We may get a clue as to the defensive attributes of the
growth/PE formula. S&P 500 closed at 1147.27 7/27/98.

Later my friend

duke60
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