Performance of most recent picks
- NM, called(Also back to NM@15.6 for shipping growth, target:17-18) on Oct 21; it rose to 17.2 & closed@ 17.16(+6.78%) on Oct 26//once up +10.3% within 7 trading days.
- CDS, closed @10.67(+27.94%) on Oct 21 & it rose to 10.9 on Oct 22, called( I bought some CDS@9.11, selling target@10+ for tomorrow -Oct 18)//once up +19.6% within 4 trading days. .
- PTT, reached 11.05 on Oct 26, called( Growth play: PTT@9.8 Target:10.5, 11.8 stop:9 -Oct 18) //once up +12.8% within 7 trading days..
- Long on Mon: SCON, reached 11.97 & closed @ 11.7(+6.85%) on Oct 25, called( Bot SCON@8.7 Target:9.3, 9.7 stop:8.2 -Oct 22) //once up +37.6% within 4 days since called on Mon.
- Long on Tues: FUQI, called( Bot FUQI@10.08, Target:10.8, 11.2, 11.8 stop: 9 -Oct 23), it rose to 11.75 after called, near my 3rd target. Sold for fast gain.//once up +16.6% within the same day.
- Shorting play on Wedn: TGIC, called ( Shorted TGIC@7.75, Target: 7, 6.6 stop: 8.08 -Oct 24), It dropped over -33% to 5.5 & closed@ 6.06(-26.61%) on Oct 25// once down -29% within 2 days. . .......
- Shorting play on Wedn: BSC, called( Shorted BSC@111.78 Target: 110, 108, 105 stop: 116), made a fast gain ( Covered BSC@110.2 for good gain here. It may drop more but good ehough for me). On Oct 25 it dropped further to 109.6 & closed@ 111.05(-2.19%)
- Long on Wedn: LFT ,called( Bought LFT@26.5, Target: 27, 28.5, 30 stop:25//don't be greedy, pls )( LFT has passed 30 with strong volume. So next target is 32, 33, 34 -Oct 24), LFT flied higher to 35.5 on Oct 25 & I alerted to exit. //once up +34% within 2 days. .
- Long on Wedn: STP , called(Bought back STP@47.2, Target: 50, 52, 54 stop: 46 - Oct 24), it reached 56.24 & closed@ 54.67(+16.47%) on Oct 25. //once up +19.2% within 2 days. .
- Long on Thurs: YGE, reached 34.68 & closed @34.39(+8.69%) on Oct 26, called( Glad to buy more YGE@31.95, Target: 33, 35, 36 stop:30 - Oct 25)// once up +8.54% within 2 days. .
- Long on Fri: (to be announced ...)
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