- Overview
- Portfolio
- Trading History
- Opinions
- Compare:
CVEmpresores's Recent Activity
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Jun 07 at 8:30AM (EST)
GES has paid CVEmpresores a dividend of $0.16 per share.
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Mar 29 at 8:30AM (EST)
GES has paid CVEmpresores a dividend of $0.16 per share.
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Jan 31 at 5:54AM (EST)
HAO has paid CVEmpresores a dividend of $0.03 per share.
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Jan 31 at 5:45AM (EST)
XHB has paid CVEmpresores a dividend of $0.03 per share.
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Jan 31 at 5:42AM (EST)
VNQ has paid CVEmpresores a dividend of $0.58 per share.
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Dec 14 2009 at 8:30AM (EST)
GES has paid CVEmpresores a dividend of $0.12 per share.
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Dec 08 2009 at 9:30AM (EST)
Bought AAPL (Apple Inc.) @ $189.03 | 5.7% of portfolio.
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Dec 02 2009 at 10:40AM (EST)
Bought FUQI (Fuqi International, Inc.) @ $20.99 | 6.6% of portfolio.
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Nov 30 2009 at 10:00AM (EST)
Bought SKBI (Skystar Bio - Pharmaceutical Company) @ $22.45 | 6.7% of portfolio.
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Nov 30 2009 at 9:43AM (EST)
Bought CYOU (Changyou.com Limited) @ $32.88 | 6.8% of portfolio.
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Nov 30 2009 at 9:33AM (EST)
Bought FUQI (Fuqi International, Inc.) @ $21.02 | 6.8% of portfolio.
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Nov 30 2009 at 9:31AM (EST)
Bought CFSG (China Fire & Security Group, Inc.) @ $13.09 | 6.7% of portfolio.
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Nov 30 2009 at 9:30AM (EST)
Bought GES (Guess, Inc.) @ $37.53 | 6.8% of portfolio.
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Nov 30 2009 at 9:30AM (EST)
Bought HAO (Claymore/AlphaShares China Small Cap Index ETF) @ $25.97 | 6.9% of portfolio.
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Nov 30 2009 at 9:30AM (EST)
Bought XHB (SPDR Series Trust) @ $14.36 | 6.7% of portfolio.
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Nov 30 2009 at 9:30AM (EST)
Bought AAPL (Apple Inc.) @ $201.23 | 9.5% of portfolio.
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Nov 02 2009 at 10:27AM (EST)
Bought GOOG (Google Inc.) @ $537.01 | 6% of portfolio.
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Oct 27 2009 at 3:55PM (EST)
Bought VNQ (Vanguard REIT ETF) @ $40.17 | 7% of portfolio.
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Oct 27 2009 at 3:54PM (EST)
Bought CGA (China Green Agriculture, Inc.) @ $11.63 | 5% of portfolio.
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Oct 27 2009 at 3:54PM (EST)
Bought CSKI (China Sky One Medical, Inc.) @ $12.92 | 4.9% of portfolio.
CVEmpresores
- Returns
- Today-0.08%
- Monthly Avg-2.08%
- (Vs. S&P 500)-1.80%
- YTD-21.03%
- Stats
- Member SinceOct '09
- Trades/Month1.7
- Sectors Technology
- Risk
- Volatility (STD)Medium
- S&P Correlation (R²)60%
- Beta1.12