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victor's Recent Activity
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Yesterday at 10:05AM (EST)
Bought GNRC (Generac Holdings Inc.) @ $13.77 | 0.7% of portfolio.
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Feb 17 at 1:59PM (EST)
Sold SHMR (Shamir Optical Industry Ltd.) @ $10.07 | 2.8% of portfolio.
Gained 52.78% | Held 195 days.
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Feb 05 at 2:13PM (EST)
Bought CVU (CPI Aerostructures, Inc) @ $6.16 | 0.1% of portfolio.
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Feb 04 at 10:38AM (EST)
Bought PBR (Petrobras - Petroleo Brasileiro S.A.) @ $39.58 | 2.6% of portfolio.
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Jan 29 at 1:22PM (EST)
Sold MLNX (Mellanox Technologies, Ltd.) @ $18.38 | 1.6% of portfolio.
Gained 5.69% | Held 1 days.
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Dec 29 2009 at 8:30AM (EST)
CIM has paid victor a dividend of $0.17 per share.
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Jan 28 at 12:33PM (EST)
Bought MLNX (Mellanox Technologies, Ltd.) @ $17.39 | 1.5% of portfolio.
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Jan 28 at 12:04PM (EST)
Sold FDO (Family Dollar Stores Inc.) @ $30.66 | 1.7% of portfolio.
Gained 1.47% | Held 240 days.
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Jan 28 at 11:12AM (EST)
Bought WATG (Wonder Auto Technology, Inc.) @ $9.77 | 0.6% of portfolio.
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Dec 29 2009 at 8:30AM (EST)
AGNC has paid victor a dividend of $1.40 per share.
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Jan 31 at 5:52AM (EST)
BBD has paid victor a dividend of $10.00 per share.
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Jan 22 at 10:33AM (EST)
Bought PWRD (Perfect World Co., Ltd.) @ $37.54 | 1.2% of portfolio.
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Jan 21 at 10:28AM (EST)
Bought BBD (Banco Bradesco, S.A.) @ $18.03 | 1% of portfolio.
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Jan 20 at 11:52AM (EST)
Sold CCM (Concord Medical Services Holdings Limited) @ $10.37 | 1.5% of portfolio.
Gained 4.22% | Held 9 days.
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Jan 19 at 2:16PM (EST)
Bought EBIX (Ebix Inc) @ $16.19 | 1.7% of portfolio.
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Jan 19 at 2:05PM (EST)
Sold BARE (Bare Escentuals, Inc.) @ $18.11 | 2.5% of portfolio.
Gained 49.24% | Held 92 days.
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Dec 11 2009 at 8:30AM (EST)
FDO has paid victor a dividend of $0.14 per share.
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Jan 12 at 11:20AM (EST)
Bought EBIX (Ebix Inc) @ $16.74 | 0.9% of portfolio.
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Jan 12 at 10:39AM (EST)
Sold SCR (Simcere Pharmaceutical Group) @ $9.82 | 1.1% of portfolio.
Gained 24.24% | Held 230 days.
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Jan 11 at 11:44AM (EST)
Bought CCM (Concord Medical Services Holdings Limited) @ $9.95 | 1.5% of portfolio.
victor
- Returns
- Today-0.11%
- Monthly Avg6.78%
- (Vs. S&P 500)3.46%
- YTD5.49%
- Stats
- Member SinceMar '09
- Trades/Month39.5
- Sectors Technology
- Risk
- Volatility (STD)Low
- S&P Correlation (R²)28.4%
- Beta0.53
“Growth at reasonable price (GARP)„
I like stocks that are growing at their early stagy and trading at reasonable valuation. Much more attracted to international equities than US, however always have allocation for American equities.