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taker212's Recent Activity
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May 12 at 8:30AM (EST)
VIRC has paid taker212 a dividend of $0.02 per share.
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Jun 09 at 2:52PM (EST)
Bought ORCD (The Orchard Enterprises, Inc) @ $2.05 | 0.1% of portfolio.
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Jun 09 at 12:17PM (EST)
Bought TZA (Direxion Small Cap Bear 3x Shares) @ $7.71 | 0.7% of portfolio.
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Jun 08 at 3:54PM (EST)
Bought SCC (ProShares UltraShort Consumer Services ETF) @ $33.10 | 1.2% of portfolio.
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Jun 08 at 3:49PM (EST)
Bought MGI (MoneyGram International, Inc.) @ $2.43 | 0.2% of portfolio.
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Jun 08 at 3:46PM (EST)
Bought MF (MF Global Holdings Ltd.) @ $6.88 | 1.2% of portfolio.
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Jun 08 at 3:42PM (EST)
Sold DHY (Credit Suisse High Yield Bond Fund) @ $2.86 | 0.7% of portfolio.
Lost -6.84% | Held 152 days.
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Jun 07 at 1:53PM (EST)
Bought MF (MF Global Holdings Ltd.) @ $6.98 | 1.9% of portfolio.
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Jun 03 at 10:00AM (EST)
Sold CLRO (ClearOne Communications Inc.) @ $3.01 | 0.8% of portfolio.
Lost -5.94% | Held 162 days.
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Jun 03 at 9:46AM (EST)
Sold CIF (MFS Intermediate High Income Fund) @ $2.63 | 0.9% of portfolio.
Lost -1.87% | Held 164 days.
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Jun 03 at 9:30AM (EST)
Sold GRZ (Gold Reserve Inc) @ $0.75 | 0.5% of portfolio.
Lost -36.97% | Held 161 days.
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Jun 01 at 3:59PM (EST)
Sold EXK (Endeavour Silver Corp) @ $3.46 | 0.7% of portfolio.
Lost -9.42% | Held 161 days.
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Jun 01 at 3:58PM (EST)
Sold PRM (Primedia Inc.) @ $3.49 | 0.7% of portfolio.
Lost -11.65% | Held 165 days.
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Jun 01 at 3:58PM (EST)
Sold VGZ (Vista Gold Corp.) @ $1.81 | 0.6% of portfolio.
Lost -30.12% | Held 159 days.
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Jun 01 at 3:55PM (EST)
Sold VITA (Orthovita, Inc.) @ $2.98 | 0.6% of portfolio.
Lost -17.68% | Held 161 days.
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Jun 01 at 3:54PM (EST)
Bought MWN (Direxion Mid Cap Bear 3X Shares) @ $20.24 | 1.8% of portfolio.
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Jun 01 at 3:52PM (EST)
Bought RBY (Rubicon Minerals Corporation) @ $3.35 | 0.6% of portfolio.
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Jun 01 at 3:50PM (EST)
Bought MF (MF Global Holdings Ltd.) @ $7.65 | 2.1% of portfolio.
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Jun 01 at 3:49PM (EST)
Sold NAVI (NaviSite, Inc.) @ $2.64 | 0.7% of portfolio.
Lost -8.65% | Held 103 days.
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Jun 01 at 3:47PM (EST)
Sold ADPT (ADPT Corporation) @ $2.90 | 0.7% of portfolio.
Lost -14.20% | Held 165 days.
“Life is good and its only getting better!„
-I went into Action and wrote an email, explaining how the Yen move was not something to take lightly. I warn in that email the risk that are looming in the Economy. I just knew, that Yen-carry trade having that move was going to have repercussions. In The Subject Matter I wrote "Warning on stock Market Holding" I will never forget the day Oct 23 2007, I started to call everyone I knew on Wall St, Friends, Family..... I even called old clients that had no interest in hearing my voice. I wanted to send the Email. And discuss a plan to make money. I was on the phone from 8am till 11pm. Only 2 out of the 20+ people actually listened to me, I blame it on the Media. Everyone on CNBC was in Party Mood and had no idea. Telling People "Things r Great!" and "Buy Buy Buy!"
-In 2008 Unveils The True Repercussions Of That Yen-Carry-Trade-Cross that killed me in August of 07'. One of the 2 guys made a Killing on the QID and the SH. The other guy just cashed out on some stock he owned.
-Now I’m 29 years old and my experience has been in one word – “Priceless”. I’m very happy and grateful to still be in the game, in good health and in good spirits. Since Feb 09’ I’ve been traveling. Got back into the states in September. I’m Ready and focus to step back into Wall St as a Stock Broker. But this time around, with a ton of trading experience and a clear understanding of all global markets. My plan is very simple.
A: Work Hard.
B: Only focus on Stocks and ETF’s that I Fully Understand.
C: Keep a close eye on Margin.
D: Keep a close relationship with my clients.