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 PORTFOLIO 1 Track Record Performance TABLE  $1,088,108 (Week 8 2016  -  Week 14 2016)

 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 01-04-2016

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

$ 1,088,108

34
02-22-2016
FSLR
2,600
Long
64.23
11
03-08-2016
66.87
+ 6,864
+ 0.686
+ 6,864
+ 0.686
$ 1,094,972
35
02-23-2016
GT
5,600
Long
29.57
7
03-03-2016
32.07
+ 14,000
+ 1.400
+ 20,864
+ 2.086
$ 1,108,972
36  +
02-24-2016
XON
4,400 14%
Long
32.28
3
02-29-2016
30.95
- 5,852   
- 0.585
+ 15,012
+ 1.501
$ 1,103,120
37  +
02-25-2016
AMBA
3,800
Long
43.58
2
02-29-2016
46.40
+ 10,716   
+ 1.072
+ 25,728
+ 2.573
$ 1,113,836
38
02-26-2016
BHP
7,300
Long
22.56
4
03-03-2016
25.85
+ 24,017
+ 2.402
+ 49,745
+ 4.975
$ 1,137,853
01-11-16   02-26-16
Last 7 Weeks Total
Weeks   2,3,4,5,6,7,8
33 Stock Picks   21 Wins   12 Losses
+  $ 95,374
+ 9.537 %
$ 1,137,853
WEEK 9
$165,000 is 16.5 % of $1,000,000 to diversify thru Week 1 - Week 9 until Week 10
Compounding started on 01-04-2016
39
02-29-2016
STX
5,300
Long
31.36
10
03-14-2016
35.36
+ 21,200
+ 2.120
+ 21,200
+ 2.120
$ 1,159,053
40
03-01-2016
HAL
5,000
Long
33.02
9
03-14-2016
35.50
+ 12,400
+ 1.240
+ 33,600
+ 3.360
$ 1,171,453
41
03-02-2016
AMBA
3,600
Long
45.26
2
03-04-2016
42.11
- 11,340
- 1.134
+ 22,260
+ 2.226
$ 1,160,113
42
03-03-2016
BMY
2,500
Long
65.00
11
03-18-2016
62.83
- 5,425
- 0.543
+ 16,835
+ 1.683
$ 1,154,688
43
03-04-2016
MU
14,000
Long
11.88
7
03-15-2016
10.85
- 14,420
- 1.442
+ 2,415
+ 0.241
$ 1,140,268
01-18-16   03-04-16
Last 7 Weeks Total
Weeks   3,4,5,6,7,8,9
34 Stock Picks   21 Wins   13 Losses
+  $ 79,797
+ 7.979 %
$ 1,140,268
WEEK 10
$180,340 is 16.5 % of $1,092,972 to diversify thru Week 10 - Week 14
Compounding started on 03-07-2016
44
03-07-2016
WYNN
2,100
Long
83.99
9
03-18-2016
94.02
+ 21,063
+ 1.927
+ 21,063
+ 1.927
$ 1,161,331
45
03-08-2016
QRVO
3,800
Long
47.09
6
03-16-2016
48.99
+ 7,220
+ 0.661
+ 28,283
+ 2.588
$ 1,168,551
46
03-09-2016
DNKN
3,900
Long
46.28
4
03-15-2016
46.01
- 1,053
- 0.096
+ 27,230
+ 2.492
$ 1,167,498
47
03-10-2016
TQQQ
4,000
Long
44.86
5
03-17-2016
48.50
+ 14,560
+ 1.332
+ 41,790
+ 3.824
$ 1,182,058

03-11-2016





No Picks



+ 41,790
+ 3.824
$ 1,182,058
01-25-16   03-11-16
Last 7 Weeks Total
Weeks   4,5,6,7,8,9,10
33 Stock Picks   20 Wins   13 Losses
+  $ 91,247
+ 8.769 %
$ 1,182,058
WEEK 11
$180,340 is 16.5 % of $1,092,972 to diversify thru Week 10 - Week 14
Compounding started on 03-07-2016
48
03-14-2016
GPRO
14,700
Long
12.27
12
03-31-2016
11.96
- 4,557
- 0.417
- 4,557
- 0.417
$ 1,177,501
49
03-15-2016
MU
16,500
Long
10.85
4
03-21-2016
11.53
+ 11,220
+ 1.027
+ 6,663
+ 0.610
$ 1,188,721
50
03-16-2016
TNA
3,400
Long
52.26
3
03-21-2016
55.70
+ 11.696
+ 1.070
+ 18,359
+ 1.680
$ 1,200,417
51
03-17-2016
WDAY
2,600
Long
70.16
12
04-05-2016
78.13
+ 20,722
+ 1.896
+ 39,081
+ 3.567
$ 1,221,139
52
03-18-2016
INCY
2,800
Long
65.07
9
04-01-2016
73.30
+ 23,044
+ 2.108
+ 62,125
+ 5.684
$ 1,244,183
02-01-16   03-18-16
Last 7 Weeks Total
Weeks   5,6,7,8,9,10,11
32 Stock Picks   19 Wins   13 Losses
+  $ 119,073
+ 11.023 %
$ 1,244,183
WEEK 12
$180,340 is 16.5 % of $1,092,972 to diversify thru Week 10 - Week 14
Compounding started on 03-07-2016
53
03-21-2016
RRC
5,500
Long
32.93
9
04-04-2016
33.04
+ 605
+ 0.055
+ 605
+ 0.055
$ 1,244,788
54
03-22-2016
DD
2,800
Long
63.93
6
03-31-2016
63.32
- 1,708
- 0.156
- 1,103
- 0.101
$ 1,243,080
55
03-22-2016
EA
2,800
Long
63.87
5
03-30-2016
66.41
+ 7,112
+ 0.651
+ 6,009
+ 0.550
$ 1,250,192
56
03-23-2016
HUM
1,000
Long
183.59
8
04-05-2016
181.03
- 2,560
- 0.234
+ 3,449
+ 0.316
$ 1,247,632
57
03-24-2016
LABU
7,200
Long
25.08
12
04-12-2016
32.41
+ 52,776
+ 4.829
+ 56,225
+ 5.145
$ 1,300,408
58
03-24-2016
PRU
2,500
Long
70.76
12
04-12-2016
73.27
+ 6,275
+ 0.574
+ 62,500
+ 5.719
$ 1,306,683

03-25-2016





Holiday



+ 62,500
+ 5.719
$ 1,306,683
02-08-16   03-25-16
Last 7 Weeks Total
Weeks   6,7,8,9,10,11,12
33 Stock Picks   21 Wins   12 Losses
+  $ 206,023
+ 19.187 %
$ 1,306,683
WEEK 13
$180,340 is 16.5 % of $1,092,972 to diversify thru Week 10 - Week 14
Compounding started on 03-07-2016
59
03-28-2016
AGCO
3,600
Long
50.64
9
04-08-2016
48.63
- 7,236
- 0.662
- 7,236
- 0.662
$ 1,299,447
60
03-29-2016
APA
3,700
Long
48.56
10
04-12-2016
53.29
+ 17,501
+ 1.601
+ 10,265
+ 0.939
$ 1,316,948
61
03-30-2016
AKAM
3,300
Long
55.10
7
04-08-2016
52.38
- 8,976
- 0.821
+ 1,289
+ 0.118
$ 1,307,972
62
03-31-2016
MU
17,200
Long
10.47
2
04-04-2016
10.80
+ 5,676
+ 0.519
+ 6,965
+ 0.637
$ 1,313,648
63
04-01-2016
SWKS
2,300
Long
78.18
12
04-19-2016
72.23
- 13,685
- 1.252
- 6,720
- 0.615
$ 1,299,963
02-15-16   04-01-16
Last 7 Weeks Total
Weeks   7,8,9,10,11,12,13
34 Stock Picks   21 Wins   13 Losses
+  $ 196,924
+ 18.334 %
$ 1,299,963
WEEK 14
$180,340 is 16.5 % of $1,092,972 to diversify thru Week 10 - Week 14 until Week 17
Compounding started on 03-07-2016
64
04-04-2016
ERX
8,200
Long
22.00
8
04-14-2016
26.30
+ 35,260
+ 3.226
+ 35,260
+ 3.226
$ 1,335,223
65
04-05-2016
MBLY
4,900
Long
36.73
8
04-15-2016
40.04
+ 16,219
+ 1.484
+ 51,479
+ 4.710
$ 1,351,442
66
04-05-2016
SBUX
3,000
Long
60.04
12
04-21-2016
60.64
+ 1,800
+ 0.165
+ 53,279
+ 4.875
$ 1,353,242
67
04-06-2016
ILMN
1,000
Long
174.16
9
04-19-2016
136.88
- 37,280
- 3.411
+ 15,999
+ 1.464
$ 1,315,962
68
04-07-2016
MYL
3,800
Long
48.07
3
04-12-2016
46.25
- 6,916
- 0.633
+ 9,083
+ 0.831
$ 1,309,046
69
04-08-2016
TWTR
10,800
Long
16.65
7
04-19-2016
16.92
+ 2,916
+ 0.267
+ 11,999
+ 1.098
$ 1,311,962
02-22-16   04-08-16
Last 7 Weeks Total
Weeks   8,9,10,11,12,13,14
36 Stock Picks   23 Wins   13 Losses
+  $ 223,854
+ 20.926 %
$ 1,311,962


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