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SMT's Premium Stocks

October 2009
winning trades = +62.5%
average return = +22.9%

The percentages shown are the maximum percent the stock has moved in the direction of the signal. Percent returns are calculated ONLY within the first 8 weeks after the stock is posted to show the effectiveness of the system. Our method maximizes returns using our short-term profit-focus strategy with explosive technical setups that can potentially deliver maximum reward at minimum risk. Stocks that do not appreciate by > 5% in their predicted direction are considered losing trades and highlighted in red.

Date Posted Stock
Ticker
Signal
Direction
Posted
Price
Best
Price
Maximum
Percentage
Gain / (Loss)
10/05/09 SHZ long $1.60 $1.75 +9.4%
10/07/09 CGR long $0.76 $1.38 +81.6%
10/12/09 MNI long $3.14 $4.04 +28.7%
10/14/09 GLD long $104.15 $119.54 +14.8%
10/19/09 APOL long $73.98 $76.69 +3.7%
10/21/09 PRSC long $12.16 $16.87 +38.7%
10/26/09 GBE long $2.08 $2.15 +3.4%
10/28/09 TINY long $4.78 $4.90 +2.5%


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