Smith's
Portfolio —
manager4
View Smith's Profile
Current Performance
|
Holdings
|
$18,115.65
|
|
Cash
|
($9,193.30)
|
|
Portfolio Value
|
$8,922.35
|
Current Holdings
| Name | Symbol | Last price | Change | Shares | Cost basis | Market value | Gain | Gain % |
|
Hewlett-packard Company |
HPQ | $46.04 | -0.37 | 37.2698 | $1,272.39 | $1,715.90 | $443.51 | 34.86% |
|
Bio-rad Laboratories, Inc. |
BIO | $88.80 | 0.03 | 77.6236 | $5,726.29 | $6,892.98 | $1,166.68 | 20.37% |
|
Morgan Stanley |
MOR | $10.05 | 0.00 | 945.9476 | $9,213.53 | $9,506.77 | $293.24 | 3.18% |
Past Activity
- 8/24/2009 9:30 AM - Bought 945.9476 shares of MOR at $9.74
- 8/18/2009 9:30 AM - Sold 15,904.5385 shares of COR at $0.25
- 8/18/2009 9:30 AM - Sold 1,000 shares of SOLR at $5.18
- 8/18/2009 9:30 AM - Sold 1.93 shares of WM at $29.74
- 8/17/2009 9:30 AM - Sold 171.95 shares of OIL at $23.77
- 8/17/2009 9:30 AM - Bought 15,904.5385 shares of COR at $0.26
- 8/13/2009 12:30 PM - Bought 171.95 shares of OIL at $24.89
- 8/13/2009 12:30 PM - Sold 4,788.5281 shares of BQI at $0.90
- 8/12/2009 4:00 PM - Bought 1.93 shares of WM at $30.25
- 8/12/2009 4:00 PM - Sold 256.8891 shares of ETF at $16.66
- 8/12/2009 4:00 PM - Bought 4,788.5281 shares of BQI at $0.89
- 8/11/2009 11:30 AM - Bought 256.8891 shares of ETF at $16.60
- 8/11/2009 11:30 AM - Sold 83.02 shares of PG at $52.07
- 7/27/2009 9:30 AM - Sold 78.8497 shares of GPS at $15.94
- 7/27/2009 9:30 AM - Bought 17.0375 shares of BIO at $73.77
- 7/27/2009 9:30 AM - Sold 12,079.5789 shares of ZILA at $0.37
- 7/27/2009 9:30 AM - Bought 60.5861 shares of BIO at $73.77
- 7/20/2009 9:30 AM - Bought 78.8497 shares of GPS at $16.17
- 7/20/2009 9:30 AM - Sold 7,500 shares of NEXM at $0.17
- 6/17/2009 10:30 AM - Bought 12,079.5789 shares of ZILA at $0.38
- 6/17/2009 10:30 AM - Sold 527.63 shares of EXM at $8.70
- 6/11/2009 2:30 PM - Bought 83.02 shares of PG at $52.37
- 6/11/2009 2:30 PM - Sold 2,070.28 shares of AGEN at $2.10
- 6/10/2009 1:30 PM - Bought 527.63 shares of EXM at $9.80
- 6/10/2009 1:30 PM - Bought 2,070.28 shares of AGEN at $2.12
- 6/8/2009 9:30 AM - Sold 41.7661 shares of PG at $53.18
- 6/8/2009 9:30 AM - Sold 200 shares of PFE at $14.51
- 6/4/2009 11:30 AM - Sold 428.7 shares of EXM at $9.98
- 6/2/2009 3:30 PM - Bought 428.7 shares of EXM at $11.11
- 6/2/2009 2:30 PM - Bought 41.7661 shares of PG at $53.72
- 6/2/2009 2:30 PM - Bought 7,500 shares of NEXM at $0.31
- 6/2/2009 2:30 PM - Sold 347.15 shares of GE at $13.72
- 6/1/2009 3:30 PM - Bought 347.15 shares of GE at $13.85
- 6/1/2009 3:30 PM - Sold 200 shares of HAL at $23.86
- 5/28/2009 9:30 AM - Bought 200 shares of PFE at $14.66
- 5/28/2009 9:30 AM - Sold 200 shares of PFE at $14.66
- 5/25/2009 9:30 AM - Bought 37.2698 shares of HPQ at $34.14
- 5/25/2009 9:30 AM - Bought 200 shares of PFE at $14.96
- 5/21/2009 4:00 PM - Sold 15 shares of FSLR at $191.85
- 5/21/2009 9:30 AM - Bought 200 shares of HAL at $22.24
- 5/21/2009 9:30 AM - Bought 15 shares of FSLR at $202.40
- 2/12/2009 9:30 AM - Sold 45.7591 shares of AAPL at $96.82
- 2/9/2009 9:30 AM - Bought 45.7591 shares of AAPL at $99.72
- 2/9/2009 9:30 AM - Sold 984.13 shares of STEM at $2.52
- 2/6/2009 4:00 PM - Bought 1,000 shares of SOLR at $5.26
- 2/5/2009 3:30 PM - Bought 984.13 shares of STEM at $2.52
- 2/5/2009 9:30 AM - Sold 104.41 shares of AAPL at $94.18
- 2/4/2009 11:30 AM - Bought 104.41 shares of AAPL at $95.78
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