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SMT's Premium Stocks

September 2002
winning trades = +80.0%
average return = +13.9%

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 4 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.

Sept. 23
Stock
Ticker
Signal
Direction
Posted
Price
Best
Price
Maximum
Percentage
Gain / (Loss)
DFIB
CTAC
EXAR
SKS
TRM
long
short
long
short
long
$1.45
$9.85
$12.22
$11.47
$10.70
$1.99
$8.10
$13.12
$8.85
$10.69
+37.2%
+17.8%
+7.4%
+22.8%
(-0.1)%
avg. +17.0%
Sept. 25
Stock
Ticker
Signal
Direction
Posted
Price
Best
Price
Maximum
Percentage
Gain / (Loss)
ATTC
EXPE
FDO
G
PETM
short
short
short
short
short
$31.99
$49.94
$26.63
$29.84
$18.13
$31.88
$37.71
$23.75
$27.57
$16.61
+0.3%
+24.5%
+10.8%
+7.6%
+8.4%
avg. +10.3%
Sept. 30
Stock
Ticker
Signal
Direction
Posted
Price
Best
Price
Maximum
Percentage
Gain / (Loss)
MSFT
SNIC
BY
MDY
CDWC
short
short
long
short
short
$45.25
$6.80
$13.85
$75.05
$42.76
$43.12
$6.00
$19.40
$67.85
$40.50
+4.7%
+11.8%
+40.1%
+9.6%
+5.3%
avg. +14.3%

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