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Strategies & Market Trends : Z PORTFOLIO -- Ignore unavailable to you. Want to Upgrade?


To: DanZ who wrote (4804)7/2/2000 9:48:22 AM
From: DanZ  Respond to of 11568
 
Closed Positions
Week Ending 6/30/00
___________________________________________________________________________________________________

John

Stock Date # Cost Cost $ Date Sales Sales G/L $ G/L % Days
Bought Sold Price Price $ Held

INCY 6/27 500 90.500 45250 6/27 87.500 43750 -1500 -3% 0

This week As of last week Total
Number of trades 1 8 9
Winners 0 0% 5 63% 5 56%
Losers 1 100% 3 38% 4 44%
Average cost 45250 33323 34649
Total profit -1500 14931 13431
Average profit $ -1500 1866 1492
Average profit % -3.3% 5.6% 4.3%
Average holding period 0.0 days 24.9 days 22.1 days

___________________________________________________________________________________________________

Kelvin
DATE # Cost Cost $ Date Sales Sales G/L % Days
Stock Bought Sold Price Price $ Held

INSP 6/12 1000 57.938 57938 6/27 60.000 60000 2063 4% 15
CHIR 6/27 1000 47.625 47625 6/30 49.688 49688 2063 4% 5


This week As of last week Total
Number of trades 2 21 23
Winners 2 100% 21 100% 23 100%
Losers 0 0% 0 0% 0 0%
Average cost 52781 34598 36179
Total profit 4125 96375 100500
Average profit $ 2063 4589 4370
Average profit % 3.9% 13.3% 12.1%
Average holding period 10.0 days 12.8 days 12.5 days

___________________________________________________________________________________________________

Larry

Stock Date # Cost Cost $ Date Sales Sales G/L $ G/L % Days
Bought Sold Price Price $ Held

CMGI 6/2 1000 56.000 56000 6/29 47.000 47000 -9000 -16% 30
MSFT 6/7 1000 68.875 68875 6/29 78.000 78000 9125 13% 25

This week As of last week Total
Number of trades 2 29 31
Winners 1 50% 14 48% 15 48%
Losers 1 50% 15 52% 16 52%
Average cost 62438 67824 67477
Total profit 125 -47594 -47469
Average profit $ 63 -1641 -1531
Average profit % 0.1% -2.4% -2.3%
Average holding period 27.5 days 26.8 days 26.8 days

___________________________________________________________________________________________________

Paul M

Stock Date # Cost Cost $ Date Sales Sales G/L $ G/L % Days
Bought Sold Price Price $ Held

NEON 6/23 500 35.500 17750 6/26 39.875 19938 2188 12% 3

This week As of last week Total
Number of trades 1 14 15
Winners 1 100% 9 64% 10 67%
Losers 0 0% 5 36% 5 33%
Average cost 17750 25814 25276
Total profit 2188 2736 4923
Average profit $ 2188 195 328
Average profit % 12.3% 0.8% 1.3%
Average holding period 3.0 days 31.7 days 29.8 days
___________________________________________________________________________________________________

Sue
DATE # Cost Cost $ Date Sales Sales G/L % Days
Stock Bought Sold Price Price $ Held

EEEE 6/19 10000 2.750 27500 6/28 3.125 31250 3750 14% 13

This week As of last week Total
Number of trades 1 38 39
Winners 1 100% 17 45% 18 46%
Losers 0 0% 19 50% 19 49%
Unch 0 0% 2 5% 2 5%
Average cost 27500 30205 30136
Total profit 3750 3146 6896
Average profit 3750 83 177
Average profit % 13.6% 0.3% 0.6%
Average holding period 13.0 days 11.6 days 11.6 days

___________________________________________________________________________________________________

Portfolio Total

This week As of last week Total
Number of trades 7 184 191
Winners 5 71.4% 120 65.2% 125 65.4%
Losers 2 28.6% 62 33.7% 64 33.5%
Unch 0 0.0% 2 1.1% 2 1.0%
Average cost 45848 41131 41304
Total profit 8688 143613 152300
Average profit $ 1241 781 797
Average profit % 2.7% 1.9% 1.9%
Average holding period 13.0 days 21.4 days 21.1 days



To: DanZ who wrote (4804)7/2/2000 9:28:49 PM
From: John Solder  Read Replies (2) | Respond to of 11568
 
Keeping them broken out helps to keep the two versions of the portfolio in sync.