Here are my positions, updated 31st July 2012. I will give you regular updates to my portfolio after this date
The Profits/Losses, July 31st
Long Positions
1. Disney DIS (Long Term)
Bought at $43.56, Now $49.80 (14.33%) Recommended
2. Kimberly Clark KMB (Long Term)
Bought at $78.32, Now $87.93 (12.27%) Recommended
3. ExxonMobil XOM (Long Term)
Bought at $81.20, Now $87.56 (7.83%)
4. Mellanox MLNX (Short Term)
Bought at $95.45, Now $106.55 (11.63%)
5. Chevron CVX (Long Term)
Bought at $101.23, Now $109.82 (8.49%)
6. Berkshire Hathaway Class B BRK-B (Long Term)
Bought at $80.39, Now $85.23 (6.02%)
7. EZCORP EZPW (Medium Term)
Bought at $23.46, Now $22.52 (0.44%) Recommended
8. Sturm, Ruger & Co. (Medium Term)
Bought at $37.47, Now $49.21 (31.33%) Recommended
9. Hershey HSY (Medium Term)
Bought at $69.23, Now $72.17 (4.24%)
10.TJX Comps. TJX (Long Term)
Bought at $42.38, Now $44.90 (5.95%)
Short Positions
1. Facebook FB (Short Term)
Sold at $28.86, Now $23.15 (24.67%)
Risks: This is a simulated account. Please research more before considering to buy.
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