Monday, December 31, 2012

December results


SSYS
2012.12.18 - BUY: 74.02 2012.12.21 - SELL: 76.82   PROFIT $2.06 x 3000 shares =$+6,180
STOCK PROFIT +2.06% OPTION PROFIT +20%


























NKE
2012.12.20 - BUY: 49.50 2012.12.26 - SELL: 51.52   PROFIT $4.07 x 3000 shares =$+12,210
STOCK PROFIT +4.07% OPTION PROFIT +40%


























Saturday, December 1, 2012

November results

UNH
2012.11.01 - BUY: 56.95 2012.11.02 - SELL: 56.05   PROFIT $-1.58 x 3000 shares =$-4,740
STOCK PROFIT -1.58% OPTION PROFIT -20%

























FAS
2012.11.01 - BUY: 113.25 2012.11.02 - SELL: 111.73   PROFIT $-1.34 x 3000 shares =$-4,020
STOCK PROFIT -1.34% OPTION PROFIT -14%

























INXN
2012.11.02 - BUY: 22.49 2012.11.05 - SELL: 21.89   PROFIT $-2.65 x 3000 shares =$-7,950
STOCK PROFIT -2.65% OPTION PROFIT -20%











Friday, November 2, 2012

October results


ASPS
2012.10.01 - BUY: 88.49 2012.10.04 - SELL: 100.33   PROFIT $13.38 x 3000 shares =$+40,140
STOCK PROFIT +13.38% OPTION PROFIT +130%

























PXD
2012.10.15 - BUY: 105.47 2012.10.19 - SELL: 106.75   PROFIT $1.21 x 3000 shares =$+3,630
STOCK PROFIT +1.21% OPTION PROFIT +14%

























NOV
2012.10.16 - BUY: 80.11 2012.10.19 - SELL: 81.77   PROFIT $2.00 x 3000 shares =$+6,000
STOCK PROFIT +2.00% OPTION PROFIT +20%

























KSU
2012.10.16 - BUY: 77.35 2012.10.19 - SELL: 78.99   PROFIT $2.12 x 3000 shares =$+6,360
STOCK PROFIT +2.12% OPTION PROFIT +20%

























CVLT
2012.10.31 - BUY: 62.37 2012.11.02 - SELL: 63.62   PROFIT $2.01 x 3000 shares =$+6,030
STOCK PROFIT +2.01% OPTION PROFIT +20%






































Friday, September 28, 2012

September results


NOV
2012.08.31 - BUY: 78.80 2012.09.18 - SELL: 83.45   PROFIT $5.90 x 3000 shares =$+17,700
STOCK PROFIT +5.90% OPTION PROFIT +60%





VSI
2012.09.04 - BUY: 56.35 2012.09.12 - SELL: 58.18   PROFIT $3.25 x 3000 shares =$+9,750
STOCK PROFIT +3.25% OPTION PROFIT +32%



























GTLS
2012.09.06 - BUY: 72.47 2012.09.11 - SELL: 71.91   PROFIT $0.78 x 3000 shares =$-2340
STOCK PROFIT -0.78% OPTION PROFIT +7%



























PXD
2012.09.06 - BUY: 99.31 2012.09.17 - SELL: 112.22   PROFIT $13.00 x 3000 shares =$+39,000
STOCK PROFIT +13.00% OPTION PROFIT +130%



























MHO
2012.09.07 - BUY: 18.79 2012.09.13 - SELL: 19.92   PROFIT $6.03 x 3000 shares =$+18,090
STOCK PROFIT +6.03% OPTION PROFIT +60%



























MA
2012.08.0706 - BUY: 432.60 2012.09.25 - SELL: 451.52   PROFIT $4.37 x 3000 shares =$+13,110
STOCK PROFIT +4.37% OPTION PROFIT +43%


























GWW

2012.09.12 - BUY: 206.78 2012.09.18 - SELL: 204.85   PROFIT $0.93 x 3000 shares =$-2790
STOCK PROFIT -0.93% OPTION PROFIT +7%











































Friday, August 31, 2012

August results


PVH
2012.08.06 - BUY: 78.86 2012.08.22 - SELL: 86.63   PROFIT $9.85 x 3000 shares =$+29,550
STOCK PROFIT +9.85% OPTION PROFIT +98%




























TTC
2012.08.16 - BUY: 38.32 2012.08.20 - SELL: 38.02   PROFIT $-0.77 x 3000 shares =$-2,310
STOCK PROFIT -0.77% OPTION PROFIT -7%







RGLD
2012.08.16 - BUY: 78.86 2012.08.30 - SELL: 85.05   PROFIT $8.34 x 3000 shares =$+25,020
STOCK PROFIT +8.34% OPTION PROFIT +83%



























REGN
2012.08.22 - BUY: 138.70 2012.08.30 - SELL: 143.11   PROFIT $3.1 x 3000 shares =$+9,300
STOCK PROFIT +3.1% OPTION PROFIT +30%

























PNRA
2012.08.28 - BUY: 156.65 2012.08.31 - SELL: 154.68   PROFIT $1.01 x 3000 shares =$-3,030
STOCK PROFIT -1.01% OPTION PROFIT +7%


































Saturday, August 4, 2012

Jul results


AAPL
2012.06.29 - BUY: 577.92 2012.07.11 - SELL: 601.27   PROFIT $4.04 x 3000 shares =$+12,120
STOCK PROFIT +4.04% OPTION PROFIT +40%
























TDC
2012.06.29 - BUY: 72.11 2012.07.06 - SELL: 67.39   PROFIT $- 7 x 3000 shares =$-21,000
STOCK PROFIT - 7% OPTION PROFIT -66%

























MNST
2012.07.02 - BUY: 74.78 2012.07.06 - SELL: 72.74   PROFIT $2.73 x 3000 shares =$-8.190
STOCK PROFIT -2.73% OPTION PROFIT +7%



























ROST
2012.07.05 - BUY: 65.98 2012.06.19 - SELL: 68.82   PROFIT $4.30 x 3000 shares =$+12,900
STOCK PROFIT +4.30% OPTION PROFIT +43%


























DLTR
2012.07.05 - BUY: 54.02 2012.07.09 - SELL: 53.01   PROFIT $- 1.87 x 3000 shares =$-5,610
STOCK PROFIT - 1,87% OPTION PROFIT +7%


























PNRA
2012.07.25 - BUY: 153.36 2012.07.31 - SELL: 159.08   PROFIT $3.73 x 3000 shares =$+11,190
STOCK PROFIT +3.73% OPTION PROFIT +37%


























SWI
2012.07.25 - BUY: 49.48 2012.08.01 - SELL: 52.35   PROFIT $5.80 x 3000 shares =$+17,400
STOCK PROFIT +5.80% OPTION PROFIT +58%



























MANH
2012.07.25 - BUY: 46.03 2012.07.27 - SELL: 47.17   PROFIT $2.48 x 3000 shares =$+7,440
STOCK PROFIT +2.48% OPTION PROFIT +24%
























ABV
2012.07.26 - BUY: 38.15 2012.07.31 - SELL: 38.65   PROFIT $1.32 x 3000 shares =$+3,960
STOCK PROFIT +1.32% OPTION PROFIT +13%



























PCLN
2012.07.27 - BUY: 683.99 2012.07.31 - SELL: 671.48   PROFIT $- 1.83 x 3000 shares =$-5,490
STOCK PROFIT - 1.83% OPTION PROFIT +7%