- Overview
- Portfolio
- Trading History
- Opinions
- Compare:
kip9812's Recent Activity
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Mar 11 at 1:51PM (EST)
Bought C (Citigroup Inc.) @ $4.12 | 0.3% of portfolio.
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Mar 05 at 11:03AM (EST)
Sold XNPT (XenoPort, Inc.) @ $7.91 | 2.5% of portfolio.
Lost -5.04% | Held 10 days.
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Mar 05 at 9:32AM (EST)
Bought AMT (American Tower Corporation) @ $43.13 | 1.4% of portfolio.
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Mar 05 at 9:30AM (EST)
Bought SWKS (Skyworks Solutions, Inc.) @ $15.60 | 1.2% of portfolio.
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Mar 04 at 1:34PM (EST)
Sold STD (Banco Santander S.A.) @ $13.64 | 0.4% of portfolio.
Gained 4.60% | Held 227 days.
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Mar 03 at 12:17PM (EST)
Sold GS.SF (Goldman Sachs Capital I) @ $0.00
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Mar 03 at 12:08PM (EST)
Sold STD (Banco Santander S.A.) @ $13.69 | 0.4% of portfolio.
Gained 4.98% | Held 226 days.
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Mar 03 at 12:07PM (EST)
Sold PCLN (priceline.com Incorporated) @ $237.21 | 1.9% of portfolio.
Gained 169.62% | Held 330 days.
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Mar 03 at 12:05PM (EST)
Sold CHL (China Mobile Limited) @ $48.01 | 1.9% of portfolio.
Lost -3.28% | Held 7 days.
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Mar 03 at 11:57AM (EST)
Bought GS (Goldman Sachs Group Inc.) @ $158.69 | 12.6% of portfolio.
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Mar 03 at 11:12AM (EST)
Bought GS.SF (Goldman Sachs Capital I) @ $0.00
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Mar 03 at 9:30AM (EST)
Bought MS (Morgan Stanley) @ $28.62 | 2.3% of portfolio.
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Mar 02 at 12:52PM (EST)
Bought BIDU (Baidu, Inc.) @ $519.46 | 16.5% of portfolio.
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Mar 02 at 12:42PM (EST)
Sold T (AT&T Inc.) @ $24.88 | 1% of portfolio.
Lost -10.26% | Held 76 days.
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Mar 01 at 11:53AM (EST)
Bought EP (El Paso Corporation) @ $10.92 | 0.9% of portfolio.
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Mar 01 at 11:50AM (EST)
Bought PBR (Petrobras - Petroleo Brasileiro S.A.) @ $42.99 | 1.7% of portfolio.
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Feb 24 at 11:07AM (EST)
Bought CHL (China Mobile Limited) @ $49.64 | 2% of portfolio.
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Feb 23 at 1:47PM (EST)
Bought XNPT (XenoPort, Inc.) @ $8.33 | 2.7% of portfolio.
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Feb 23 at 1:45PM (EST)
Bought LVLT (Level 3 Communications, Inc.) @ $1.52 | 0.5% of portfolio.
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Feb 23 at 1:41PM (EST)
Sold C (Citigroup Inc.) @ $3.38 | 1.1% of portfolio.
Gained less than 1% | Held 56 days.
kip9812
- Returns
- Today0.55%
- Monthly Avg7.51%
- (Vs. S&P 500)4.19%
- YTD4.32%
- Stats
- Member SinceApr '09
- Trades/Month16.1
- Sectors Technology
- Risk
- Volatility (STD)Low
- S&P Correlation (R²)62.3%
- Beta0.93
“Live,compete and win.„
My investment style is risky but cautious. For the most part I invest in companies that have an increasing yield over 5% but are market leaders.Also, I have been investing heavily in China selecting companies that are listed on the NASDAQ and are market leaders in China if not the world.