Quantcast
I have 26 consecutive profitable trades of 15% or better. How is this possible? Every day there are hundreds of stocks setting new highs, no matter what happens in the overall market. Many of these stocks are still at very reasonable valuations. Afraid of buying stocks at their highs? Think of it this way: a new high is really a future floor for companies with solid financial underpinnings. Quantitative momentum modeling makes it easy to identify stocks that can continue this upward momentum trend. Why does this happen? It's really very simple..ask me about what investors and cows have in common. I am $$$ MR. MARKET $$$. I AM HUGE!!! Bring me your finest meats and cheeses. You can join in on the fun. Register for free and you'll be able to post messages on this forum and also receive emails when $$$ MR. MARKET $$$ makes his own trades. ($$$MR. MARKET$$$ is a proprietary investor and does not provide individual financial advice. The stocks mentioned on this forum do not represent individual buy or sell recommendations and should not be viewed as such. Individual investors should consider speaking with a professional investment adviser before making any investment decisions.)
Page 24 of 28 FirstFirst ... 1421222324252627 ... LastLast
Results 231 to 240 of 279
  1. #231
    Join Date
    Oct 2003
    Location
    Hamilton MA
    Posts
    2,087

    Default

    Quote Originally Posted by mrmarket View Post
    I doubt it

    Bot some at 18 just now. We'll see what happens.

  2. #232
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    I added some TDOC today to bring me up to a double position. I know itís aggressive to be buying anything right now, but I have been pleasantly surprised by the bounce this week and there was finally a little bit of a pullback in TDOC. Hope this bounce continues as many of my positions are (back) in the green, but weíll just have to wait and see. Any bad news is going to rock the boat.

    Here are my current holdings and candidates:

    Current LT Positions:
    AAPL, AAXN, AMT, ANET, APPN(2), AYX(2), CGNX(.5), CRM(.5), CRSP(.5), CRWD(.5), DDOG, DOCU, EDIT, EEFT(.5), ETSY, FICO(.5), FLGT(.5), FRPT(.5), FSLY, GH, HQY(.5), IIPR(.5), INSP, ISRG, LVGO(.5), LYV, MA(.5), MDB, MDLA(.5), MELI(2), MSFT(.5), MTCH, NVCR, NVDA, NVTA, OKTA, PAYC(.5), PING(.5), QTWO(.5), RDFN(.5), RGEN(.5), SDGR(.5), SFIX, SHOP, SMAR, SPCE(.5), TDOC(2), TEAM, TLRA, TREX, TTD(2), TTWO, TWLO, VEEV(2), WD(.5), WIX(.5), WORK, ZEN(2), ZM, ZS(.5)

    Current High Interest Watchlist:
    ADBE, AMZN, APPF, ATVI, BKNG, BRK/B, CRNC, DAVA, EPAM, EQIX, ESTC, EVBG, FB, HCAT, HUBS, KNSL, LITE, MASI, MNST, NTNX, PANW, PYPL, ROKU, RVLV, SIVB, SPLK, SQ, SWAV, V, ZNGA

    Current Some Interest Watchlist:
    ABMD, BABA, BFYT, BIDU, BILI, BZUN, COUP, CSGP, EXPI, FTCH, FTNT, FVRR, GLOB, OLED, OLLI, SE, TSLA, XLNX, ZG

    Bold = New Stock or Altered Position
    (.5)= 1/2 Position
    (2) = Double Position

  3. #233
    Join Date
    Nov 2003
    Location
    ohio
    Posts
    8,909

    Default

    Bought some MA today. It's a $300 stock for sure.

    --------------billy

  4. #234
    Join Date
    Sep 2003
    Posts
    4,776

    Default

    Agreed. I also think all stocks are at a 10% or better discount right now. In six months, I'd bet the S&P is back over 3000, as COVID will be all over and done with, and everybody will be back to work. Doesn't mean you can't buy everything 20% cheaper next month, however.

  5. #235
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    Donít know why I didnít take a position this round, but AMZN is running now.

  6. #236
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    I donít want to jinx myself, but I finally went back to net positive yesterday. Anyway, as a result of the recent bullishness, I opened a 1/2 position in EPAM, NTNX, and SPLK today. Here are my current positions and watchlists for long term (LT) plays:

    Current LT Positions:
    AAPL, AAXN, AMT, ANET, APPN(2), AYX(2), CGNX(.5), CRM(.5), CRSP(.5), CRWD(.5), DDOG, DOCU, EDIT, EEFT(.5), EPAM(.5), ETSY, FICO(.5), FLGT(.5), FRPT(.5), FSLY, GH, HQY(.5), IIPR(.5), INSP, ISRG, LVGO(.5), LYV, MA(.5), MDB, MDLA(.5), MELI(2), MSFT(.5), MTCH, NTNX(.5), NVCR, NVDA, NVTA, OKTA, PAYC(.5), PING(.5), QTWO(.5), RDFN(.5), RGEN(.5), SDGR(.5), SFIX, SHOP, SMAR, SPCE(.5), SPLK(.5), TDOC(2), TEAM, TLRA, TREX, TTD(2), TTWO, TWLO, VEEV(2), WD(.5), WIX(.5), WORK, ZEN(2), ZM, ZS(.5)

    Current High Interest Watchlist:
    ADBE, AMZN, APPF, ATVI, BKNG, BRK/B, CRNC, DAVA, EQIX, ESTC, EVBG, FB, HCAT, HUBS, KNSL, LITE, MASI, MNST, PANW, PYPL, ROKU, RVLV, SIVB, SQ, SWAV, V, ZNGA

    Current Some Interest Watchlist:
    ABMD, BABA, BFYT, BIDU, BILI, BZUN, COUP, CSGP, EXPI, FTCH, FTNT, FVRR, GLOB, OLED, OLLI, SE, SPOT, TSLA, XLNX, ZG

    Bold = New Stock or Altered Position
    (.5)= 1/2 Position
    (2) = Double Position

  7. #237
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    I opened a 1/2 position in SWAV today @$37.40. Iíll start posting my entry prices at the time of entry from now on. If youíre interested in knowing all my entry prices, I can post a summary. Just ask. Here is my current positions list along with my high and moderate interest watchlists for long term (LT) plays:

    Current LT Positions:
    AAPL, AAXN, AMT, ANET, APPN(2), AYX(2), CGNX(.5), CRM(.5), CRSP(.5), CRWD(.5), DDOG, DOCU, EDIT, EEFT(.5), EPAM(.5), ETSY, FICO(.5), FLGT(.5), FRPT(.5), FSLY, GH, HQY(.5), IIPR(.5), INSP, ISRG, LVGO(.5), LYV, MA(.5), MDB, MDLA(.5), MELI(2), MSFT(.5), MTCH, NTNX(.5), NVCR, NVDA, NVTA, OKTA, PAYC(.5), PING(.5), QTWO(.5), RDFN(.5), RGEN(.5), SDGR(.5), SFIX, SHOP, SMAR, SPCE(.5), SPLK(.5), SWAV(.5), TDOC(2), TEAM, TLRA, TREX, TTD(2), TTWO, TWLO, VEEV(2), WD(.5), WIX(.5), WORK, ZEN(2), ZM, ZS(.5)

    Current High Interest Watchlist:
    ADBE, AMZN, APPF, ATVI, BKNG, BRK/B, CRNC, DAVA, EQIX, ESTC, EVBG, FB, HCAT, HUBS, KNSL, LITE, MASI, MNST, PANW, PYPL, ROKU, RVLV, SIVB, SQ, V, ZNGA

    Current Moderate Interest Watchlist:
    ABMD, BABA, BFYT, BIDU, BILI, BZUN, COUP, CSGP, EXPI, FTCH, FTNT, FVRR, GLOB, OLED, OLLI, SE, SPOT, TSLA, XLNX, ZG

    Bold = New Stock or Altered Position
    (.5)= 1/2 Position
    (2) = Double Position

  8. #238
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    I closed my LYV position today. They havenít been participating in the market rally and, because of the nature of their business, I think itís going to be a long time before they will be able to recover from the COVID-19 lockdown. Iíll put it in my moderate interest list for now as I might someday re-open a position. I just felt it would be better to either park the money or put it into something that is more likely to near-term participate in the recovery. Here is my current positions list along with my high and moderate interest watchlists for long term (LT) plays:

    Current LT Positions:
    AAPL, AAXN, AMT, ANET, APPN(2), AYX(2), CGNX(.5), CRM(.5), CRSP(.5), CRWD(.5), DDOG, DOCU, EDIT, EEFT(.5), EPAM(.5), ETSY, FICO(.5), FLGT(.5), FRPT(.5), FSLY, GH, HQY(.5), IIPR(.5), INSP, ISRG, LVGO(.5), MA(.5), MDB, MDLA(.5), MELI(2), MSFT(.5), MTCH, NTNX(.5), NVCR, NVDA, NVTA, OKTA, PAYC(.5), PING(.5), QTWO(.5), RDFN(.5), RGEN(.5), SDGR(.5), SFIX, SHOP, SMAR, SPCE(.5), SPLK(.5), TDOC(2), TEAM, TLRA, TREX, TTD(2), TTWO, TWLO, VEEV(2), WD(.5), WIX(.5), WORK, ZEN(2), ZM, ZS(.5)

    Current High Interest Watchlist:
    ADBE, AMZN, APPF, ATVI, BKNG, BRK/B, CRNC, DAVA, EQIX, ESTC, EVBG, FB, HCAT, HUBS, KNSL, LITE, MASI, MNST, PANW, PYPL, ROKU, RVLV, SIVB, SQ, V, ZNGA

    Current Moderate Interest Watchlist:
    ABMD, BABA, BFYT, BIDU, BILI, BZUN, COUP, CSGP, EXPI, FTCH, FTNT, FVRR, GLOB, LYV, OLED, OLLI, SE, SPOT, TSLA, XLNX, ZG

    Bold = New Stock or Altered Position
    (.5)= 1/2 Position
    (2) = Double Position

  9. #239
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    Sorry to post again so soon, but I just put some of my LYV money back to work in a 1/2 position in KNSL @$112.16. Here is my current positions list along with my high and moderate interest watchlists for long term (LT) plays:

    Current LT Positions:
    AAPL, AAXN, AMT, ANET, APPN(2), AYX(2), CGNX(.5), CRM(.5), CRSP(.5), CRWD(.5), DDOG, DOCU, EDIT, EEFT(.5), EPAM(.5), ETSY, FICO(.5), FLGT(.5), FRPT(.5), FSLY, GH, HQY(.5), IIPR(.5), INSP, ISRG, KNSL, LVGO(.5), MA(.5), MDB, MDLA(.5), MELI(2), MSFT(.5), MTCH, NTNX(.5), NVCR, NVDA, NVTA, OKTA, PAYC(.5), PING(.5), QTWO(.5), RDFN(.5), RGEN(.5), SDGR(.5), SFIX, SHOP, SMAR, SPCE(.5), SPLK(.5), TDOC(2), TEAM, TLRA, TREX, TTD(2), TTWO, TWLO, VEEV(2), WD(.5), WIX(.5), WORK, ZEN(2), ZM, ZS(.5)

    Current High Interest Watchlist:
    ADBE, AMZN, APPF, ATVI, BKNG, BRK/B, CRNC, DAVA, EQIX, ESTC, EVBG, FB, HCAT, HUBS, LITE, MASI, MNST, PANW, PYPL, ROKU, RVLV, SIVB, SQ, V, ZNGA

    Current Moderate Interest Watchlist:
    ABMD, BABA, BFYT, BIDU, BILI, BZUN, COUP, CSGP, EXPI, FTCH, FTNT, FVRR, GLOB, LYV, OLED, OLLI, SE, SPOT, TSLA, XLNX, ZG

    Bold = New Stock or Altered Position
    (.5)= 1/2 Position
    (2) = Double Position

  10. #240
    Join Date
    Jun 2009
    Location
    Earth (Mostly)
    Posts
    560

    Default

    Going against the market, but liking the setup, I opened a full position in RVLV this morning at 11.31. Here is my current positions list along with my high and moderate interest watchlists for long term (LT) plays:

    Current LT Positions:
    AAPL, AAXN, AMT, ANET, APPN(2), AYX(2), CGNX(.5), CRM(.5), CRSP(.5), CRWD(.5), DDOG, DOCU, EDIT, EEFT(.5), EPAM(.5), ETSY, FICO(.5), FLGT(.5), FRPT(.5), FSLY, GH, HQY(.5), IIPR(.5), INSP, ISRG, KNSL, LVGO(.5), MA(.5), MDB, MDLA(.5), MELI(2), MSFT(.5), MTCH, NTNX(.5), NVCR, NVDA, NVTA, OKTA, PAYC(.5), PING(.5), QTWO(.5), RDFN(.5), RGEN(.5), RVLV, SDGR(.5), SFIX, SHOP, SMAR, SPCE(.5), SPLK(.5), TDOC(2), TEAM, TLRA, TREX, TTD(2), TTWO, TWLO, VEEV(2), WD(.5), WIX(.5), WORK, ZEN(2), ZM, ZS(.5)

    Current High Interest Watchlist:
    ADBE, AMZN, APPF, ATVI, BKNG, BRK/B, CRNC, DAVA, EQIX, ESTC, EVBG, FB, HCAT, HUBS, LITE, MASI, MNST, PANW, PYPL, ROKU, SIVB, SQ, V, ZNGA

    Current Moderate Interest Watchlist:
    ABMD, BABA, BFYT, BIDU, BILI, BZUN, COUP, CSGP, EXPI, FTCH, FTNT, FVRR, GLOB, LYV, OLED, OLLI, SE, SPOT, TSLA, XLNX, ZG

    Bold = New Stock or Altered Position
    (.5)= 1/2 Position
    (2) = Double Position

Thread Information

Users Browsing this Thread

There are currently 1 users browsing this thread. (0 members and 1 guests)

Similar Threads

  1. ParkTwain's Parlor
    By mrmarket in forum Discussion
    Replies: 591
    Last Post: 07-15-2012, 12:46 PM
  2. CSCO for a a long term hold
    By mrmarket in forum Discussion
    Replies: 4
    Last Post: 08-09-2007, 10:31 AM
  3. NYSE new rule for cash accounts
    By bon46 in forum Discussion
    Replies: 20
    Last Post: 02-19-2004, 09:31 AM
  4. long term investing
    By casinoboy3 in forum Discussion
    Replies: 2
    Last Post: 11-09-2003, 11:47 PM
  5. How my Stock Picking Model Works
    By mrmarket in forum Reference
    Replies: 0
    Last Post: 09-25-2003, 01:59 PM

Posting Permissions

  • You may not post new threads
  • You may not post replies
  • You may not post attachments
  • You may not edit your posts
  •  




Do you like this site?

Go to the homepage of
$$$ MR. MARKET $$$