Model Portfolio

Thursday, April 24, 2014
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Long Stock Positons

  Symbol Quote* Daily Change Number of Shares** Cost Current Value Diff ($) Diff (%) Date Added
+ UMPQ $17.62 $-0.44 (-2.44%) 1000@12.24 $12,240 $17,620 $5,380 43.95% 07/09/2010
+ MCS $17.51 $-0.07 (-0.37%) 1000@9.03 $9,030 $17,510 $8,480 93.91% 07/09/2010
+ CBI $86.67 $-0.77 (-0.88%) 500@21.17 $10,585 $43,335 $32,750 309.40% 01/05/2010
+ EIG $19.98 $0.47 (+2.41%) 600@14.92 $8,952 $11,988 $3,036 33.91% 01/05/2010
+ SWY $34.02 $-0.07 (-0.21%) 500@20.29 $10,145 $17,010 $6,865 67.67% 07/01/2009
+ ATVI $19.63 $-0.27 (-1.36%) 2200@12.219 $26,882 $43,186 $16,304 60.65% 08/29/2008
+ LGF $26.55 $-0.97 (-3.52%) 1000@9.41 $9,410 $26,550 $17,140 182.15% 02/29/2008
+ EMC $25.91 $-0.85 (-3.18%) 600@13.85 $8,310 $15,546 $7,236 87.08% 03/31/2007
+ TEVA $50.67 $-0.78 (-1.52%) 300@35.05 $10,515 $15,201 $4,686 44.56% 09/01/2006
+ PG $80.36 $-0.25 (-0.31%) 180@55.6 $10,008 $14,465 $4,457 44.53% 06/30/2006
Cash $74,077
Total Returns Since Inception on Aug 2, 2005 $196,486 196.49%

Performance Chart


Note: This model portfolio automatically updates itself during market hours.

* Quotes delayed 30 mins for NASDAQ, 35 mins for NYSE and Amex.

** Price and number of shares adjusted for Activision Blizzard (ATVI), ICON plc (ICLR) and Companhia Siderurgica Nacional (SID) to reflect splits on September 8, 2008, August 13, 2008 and April 7, 2010 respectively.

Voluntary Disclosure: From the stocks that are currently in the model portfolio, I own shares of