- Compare:
Chart data reflects last close values.
NEUTRINO's style
- Basic Materials 42.99%
- Technology 18.42%
- Services 15.12%
- Industrial Goods 14.23%
- Healthcare 9.25%
NEUTRINO's bio
- 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
NEUTRINO's major holdings
- % of Portfolio
- Apple Inc.18.42%
- Apache Corporation15.18%
- Fluor Corporation14.23%
- Wal-Mart Stores, Inc.11.80%
- Gilead Sciences, Inc.9.25%
- Atwood Oceanics Inc.7.84%
- Mosaic Company (The)5.56%
- Freeport-McMoran Copper & Gold Inc.4.31%
- Chesapeake Energy Corporation3.78%
- Mechel OAO2.72%
- Companhia Vale do Rio Doce (VALE)2.24%
- VisionChina Media, Inc.2.20%
- Steel Dynamics, Inc.1.36%
- Excel Maritime Carriers Ltd.1.12%