U.S. Portfolio

Monday last week, I had a computer problem. The hard disk stopped working and I took some time to recover the information. Now things are getting back to normal.

I made two modifications:
I have changed the calculation of the weighted average price to 3 decimal places. And I stopped provide an approximation of the money used for the trade and started to provide the real money used for the trade. (The money used for the trade is not used for calculating the trade gain or loss.)
 
The following table shows the Recently auxiliary calculations:

tIXMJ6J.png
 
The following is the list of recently closed trades:

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The following is the list of closed trades:

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The following is the list of money from dividends:

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The following is the current portfolio:

uYBqprT.png
 
The consensus of technical indicators that I utilize is on the sell signal.
I will update the stop loss orders and will buy SQQQ.

XMkvCRf.png


x7B6bqZ.png
 
I do not have a clear idea of what is the direction of the market will be.
I do not know whether I ought go long or short. So, I do both at the same time.
In a few days time, I will have a better idea of what is happening.

The following is the list of recently closed trades:

FhNBbsQ.png


The following is the portfolio:

pnABM1v.png


The following is the updating of stop loss orders:

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The following is 1 buy:

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The following is the list of the last auxiliary calculations in the U.S.:
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The following is the list of the last closed trades in the U.S.:
O8b0T9i.png
 
I've been hesitant to buy, but now I decided to buy. I will use a small percentage of the portfolio. If market rises, so after I increase the exposure.

8 New Buys:
4FPW9vf.png
 
The following is the last closed trade in the US:

rK40G49.png


The following is the portfolio:

h75mLB1.png
 
The following are the auxiliary calculations:

gQ6yjc1.png



The following is the last closed traded:

jNJImXo.png



The following is the porfolio:

vOw9DuK.png
 
The following are the auxiliary calculations:

iuFL94n.png


The following is the porfolio:

mQ3UJ63.png
 
I took too much time to buy. For example, I bought EVC for the first time on June 12. Since then, has risen more than 38%, but I bought very few quantities and I took too much time to buy more. I could have done better.

I've been buying and selling with a delay on average of 3 to 4 days when compared with the consensus of the technical indicators that I use. This has influenced the portfolio result because the US market has risen at a very fast rate. I will try to buy and sell more quickly.
However, I also have a US long term market timer portfolio in the forum and the two portfolios complement one another.
 
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