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 PORTFOLIO 1 Track Record Performance TABLE  $1,232,854 (Week 8 2015  -  Week 14 2015)

 回 Stock Picks 
人 174% Yearly 人 +7.7% 7 Weekly 人

WEEK 8
$165,000 is 16.5 % of $1,000,000 to diversify thru Week 1 - Week 9 until Week 10
Compounding started on 09-28-2015

Pick

#

Entry

Date

Ticker
Shares

Trade

Type

Entry

Price $

 Hold

Days 

Exit

Date

Exit

Price $

Win / Loss

$

Win / Loss

%

Week Total

Win / Loss$

Week Total

Win / Loss%

Balance Start

$ 1,232,854

48
11-16-2015
CTRP
3,400
Long
48.70
9
11-30-2015
53.51
+ 16,354
+ 1.635
+ 16.354
+ 1.635
$ 1,249,208
49
11-17-2015
FSLR
3,100
Long
52.75
5
11-24-2015
56.17
+ 10,602
+ 1.060
+ 26,956
+ 2.695
$ 1,259,810
50
11-18-2015
GDXJ
8,700
Long
18.92
8
12-01-2015
19.38
+ 4,002
+ 0.400
+ 30,958
+ 3.095
$ 1,263,812
51
11-19-2015
APC
2,800
Long
59.64
10
12-04-2015
56.81
- 7,924
- 0.792
+ 23,034
+ 2.303
$ 1,255,888

11-20-2015





No Picks



+ 23,034
+ 2.303
$ 1,255,888
10-05-15   11-20-15
Last 7 Weeks Total
Weeks   2,3,4,5,6,7,8
42 Stock Picks   21 Wins   21 Losses
+  $ 142,369
+ 14.237 %
$ 1,255,888
WEEK 9
$165,000 is 16.5 % of $1,000,000 to diversify thru Week 1 - Week 9 until Week 10
Compounding started on 09-28-2015
52
11-23-2015
SPLK
2,800
Long
58.49
6
12-02-2015
59.93
+ 4,032
+ 0.403
+ 4,032
+ 0.403
$ 1,259,920
53
11-24-2015
TWTR
6,500
Long
25.52
7
12-04-2015
25.02
- 3,250
- 0.325
+ 782
+ 0.078
$ 1,256,670

11-25-2015





No Picks



+ 782
+ 0.078
$ 1,256,670

11-26-2015





Holiday



+ 782
+ 0.078
$ 1,256,670
54
11-27-2015
CRM
2,100
Long
79.97
4
12-03-2015
79.93
- 840
- 0.084
- 58
- 0.006
$ 1,255,830
10-12-15   11-27-15
Last 7 Weeks Total
Weeks   3,4,5,6,7,8,9
38 Stock Picks   20 Wins   18 Losses
+  $ 163,122
+ 16.312 %
$ 1,255,830
WEEK 10
$203,421 is 16.5 % of $1,232,854 to diversify thru Week 10 - Week 14
Compounding started on 11-30-2015
55
11-30-2015
AEM
7,700
Long
26.45
7
12-09-2015
27.93
+ 11,396
+ 0.924
+ 11,396
+ 0.924
$ 1,267,226
56
12-01-2015
JBLU
8,000
Long
25.54
8
12-11-2015
23.44
- 16,800
- 1.363
- 5,404
- 0.439
$ 1,250,426
57
12-02-2015
RF
20,100
Long
10.10
6
12-10-2015
9.61
- 9,849
- 0.799
- 15,253
- 1.238
$ 1,240,577
58
12-03-2015
PG
2,700
Long
75.74
8
12-15-2015
79.68
+ 10,638
+ 0.863
- 4,615
- 0.375
$ 1,251,215
59
12-04-2015
GD
1,400
Long
143.84
3
12-09-2015
140.17
- 5,138
- 0.417
- 9,753
- 0.792
$ 1,246,077
60
12-04-2015
HAL
5,400
Long
37.90
5
12-11-2015
36.96
- 5,076
- 0.412
- 14,829
- 1.204
$ 1,241,001
10-19-15   12-04-15
Last 7 Weeks Total
Weeks   4,5,6,7,8,9,10
36 Stock Picks   18 Wins   18 Losses
+  $ 101,017
+ 10.381 %
$ 1,241,001
WEEK 11
$203,421 is 16.5 % of $1,232,854 to diversify thru Week 10 - Week 14
Compounding started on 11-30-2015
61
12-07-2015
SPLK
3.500
Long
57.80
7
12-16-2015
55.42
- 8,330
- 0.676
- 8,330
- 0.676
$ 1,232,671
62
12-08-2015
AMAT
10,700
Long
18.95
7
12-17-2015
18.06
- 9,523
- 0.772
- 17,853
- 1.448
$ 1,223,148
63
12-09-2015
RHT
2,600
Long
79.05
8
12-21-2015
80.44
+ 3,614
+ 0.293
- 14,239
- 1.155
$ 1,226,762
64
12-10-2015
ICPT
1,300
Long
151.78
6
12-18-2015
156.08
+ 5,590
+ 0.453
- 8,649
- 0.702
$ 1,232,352
65
12-11-2015
CELG
1,900
Long
108.36
4
12-17-2015
112.17
+ 7,239
+ 0.587
- 1,410
- 0.115
$ 1,239,591
10-26-15   12-11-15
Last 7 Weeks Total
Weeks   5,6,7,8,9,10,11
35 Stock Picks   18 Wins   17 Losses
+  $ 93,659
+ 9.671 %
$ 1,239,591
WEEK 12
$203,421 is 16.5 % of $1,232,854 to diversify thru Week 10 - Week 14
Compounding started on 11-30-2015
66
12-14-2015
DATA
2,300
Long
88.24
12
12-31-2015
94.22
+ 13,754
+ 1.116
+ 13,754
+ 1.116
$ 1,253,345
67
12-15-2015
STX
5,900
Long
34.25
5
12-22-2015
35.45
+ 7,080
+ 0.574
+ 20,834
+ 1.690
$ 1,260,425
68
12-16-2015
CRM
2,600
Short
78.89
3
12-21-2015
77.29
+ 4,160
+ 0.337
+ 24,994
+ 2.027
$ 1,264,585
69
12-17-2015
RF
20,900
Long
9.73
3
12-22-2015
9.50
- 4,807
- 0.390
+ 20,187
+ 1.637
$ 1,259,778
70
12-18-2015
VIPS
12,400
Short
16.38
9
01-04-2016
14.05
+ 28,892
+ 2.344
+ 49,079
+ 3.981
$ 1,288,670
11-02-15   12-18-15
Last 7 Weeks Total
Weeks   6,7,8,9,10,11,12
35 Stock Picks   19 Wins   16 Losses
+  $ 87,440
+ 8.122 %
$ 1,288,670
WEEK 13
$203,421 is 16.5 % of $1,232,854 to diversify thru Week 10 - Week 14
Compounding started on 11-30-2015
71
12-21-2015
KEY
15,900
Long
12.84
7
12-31-2015
13.19
+ 5,565
+ 0.451
+ 5,565
+ 0.451
$ 1,294,235
72
12-21-2015
KRE
4,900
Long
41.65
4
12-28-2015
42.45
+ 3,920
+ 0.318
+ 9,485
+ 0.769
$ 1,298,155

12-22-2015





No Picks



+ 9,485
+ 0.769
$ 1,298,155
73
12-23-2015
GPRO
11,200
Long
18.27
2
12-28-2015
17.92
- 3,920
- 0.318
+ 5,565
+ 0.451
$ 1,294,235
74
12-24-2015
HAS
3,000
Long
67.65
5
01-04-2016
66.96
- 2,070
- 0.168
+ 3,495
+ 0.283
$ 1,292,165

12-25-2015





Holiday



+ 3,495
+ 0.283
$ 1,292,165
11-09-15   12-25-15
Last 7 Weeks Total
Weeks   7,8,9,10,11,12,13
35 Stock Picks   21 Wins   14 Losses
+  $ 104,546
+ 9.766 %
$ 1,292,165
WEEK 14
$203,421 is 16.5 % of $1,232,854 to diversify thru Week 10 - Week 14
Compounding started on 11-30-2015
75
12-28-2015
COO
1,500
Short
136.07
6
01-06-2016
131.59
+ 6,720
+ 0.545
+ 6,720
+ 0.545
$ 1,298,885
76
12-29-2015
ERY
7,100
Long
28.62
6
01-07-2016
34.74
+ 43,452
+ 3.525
+ 50,172
+ 4.070
$ 1,342,337
77
12-30-2015
GG
17,700
Long
11.52
6
01-08-2016
12.49
+ 6,887
+ 0.559
+ 57,059
+ 4.629
$ 1,349,224

12-31-2015





No Picks



+ 57,059
+ 4.629
$ 1,349,224

01-01-2016





Holiday



+ 57,059
+ 4.629
$ 1,349,224
11-16-15   01-01-16
Last 7 Weeks Total
Weeks  8,9,10,11,12,13,14
30 Stock Picks   18 Wins   12 Losses
+  $ 116,370
+ 9.871 %
$ 1,349,224


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