Value Line 1-2 Portfolio: Here is significant action of stocks I previously recommended. Again, disclaimers, apologies, humble mutterings etc...
AES: Sector is weakening and I'm taking my profits here. Gain of 16.95% since recommendation on 10/04.
AMGN: Can be purchased here. Gain of 6.99% since recommendation on 10/04.
CSCO: Can be purchased here. Gain of 16.03% since 10/04 and 38.55% since 10/08
DELL: Can be purchased here. Gain of 1.99% since 10/04 and 32% since 10/08.
IBM: Still looks great but I'm taking partial profits here. Will leave some shares and will add on pullbacks. Gain of 26.14% since recommendation on 10/04.
JNJ: Johnson and Johnson. Just broke a triple top. Stock still looks great and can buy here with a stop of 79. Gain of 9.72, 11.62, 2.42 since recommendation on 10/04, 10/08 and 10/15 respectively.
LLY: Holding positions here. Gain of 8.79% since recommendation on 10/04
LUV: Holding positions here. Gain of 6.85% since recommendation on 10/15
MRK: I'm taking partial profits here and will add on pullbacks. Gain of 13.99% since recommendation on 10/04
MSFT: Taking partial profits here and will hold while watching court battle. Gain of 4.33% since 10/04 and 9.73% since 10/08 recommendations.
NOK.A: Can buy additional positions here. Stop of 85. Gain of 12.44% since recommendation on 10/15.
PFE: Holding. Gain of 17.69% since recommendation on 10/08.
SCH: Can add more here with a stop of 48. Gain of 23.86% since recommendation on 10/15.
SGP: Holding. Gain of 2.39, 9.99, 2.52% since recommendations on 10/04, 10/08 and 10/15 respectively.
SPY: Holding and will buy on significant market weakness. Gain of 17.21% since recommendation on 10/08
TYC: Holding. Gain of 16.90% since recommendation on 10/15
TWX: Can buy more here stop of 91. Gain of 11.90% since recommendation on 10/15.
WLA: Holding. At a precarious position. I have a stop at 72 a triple bottom break and will exit at that point. Gain of .43% and 14.49 since recommendation on 10/04 and 10/08 respectively.
When I put together these portfolio's I entered as if I were buying 20,000.00 dollars of each security. If this were a live portfolio the original investment would increased in value by 72,000.00 dollars, 11.47%, since 10/04.
See previous post for additions to this portfolio. |