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NEUTRINO's style

NEUTRINO's bio

Top 90%

NEUTRINO

(Why follow?)

  • Risk Group(5.5/10) Growth
  • RankTop 90%
  • Return Today7.45%
  • Return 1 Month-25.94%
  • Return 3 Months-58.91%
  • Return YTD-63.02%
  • Trades/Month1.02
  • Member SinceApr 08
  • Sectors Basic Materials

http://www.marketguru.com/NEUTRINO

NEUTRINO's major holdings

  • % of Portfolio
  • AAPL

    Apple Inc.18.42%
  • APA

    Apache Corporation15.18%
  • FLR

    Fluor Corporation14.23%
  • WMT

    Wal-Mart Stores, Inc.11.80%
  • GILD

    Gilead Sciences, Inc.9.25%
  • ATW

    Atwood Oceanics Inc.7.84%
  • MOS

    Mosaic Company (The)5.56%
  • FCX

    Freeport-McMoran Copper & Gold Inc.4.31%
  • CHK

    Chesapeake Energy Corporation3.78%
  • MTL

    Mechel OAO2.72%
  • RIO

    Companhia Vale do Rio Doce (VALE)2.24%
  • VISN

    VisionChina Media, Inc.2.20%
  • STLD

    Steel Dynamics, Inc.1.36%
  • EXM

    Excel Maritime Carriers Ltd.1.12%