Big day today. My portfolio was up 2.2%. The big movers driving this were:
ALNY, 6.75%
ARNA, 3.9%
ASPV, 8.5%
CBST, 4%
EDU, 9.5%
GIGM, 7.1%
OYOG, 10.8%
SCSS, 5%
TRLG, 7.3%
VPHM, 3.6%
(including some after-hours trading)
It's a pretty mixed bag, too. Some had earnings reports, some had no news at all. GIGM and EDU both tap the Chinese market - maybe somethin was going on there? But - no big move out of CTRP, after last weeks cashing-in, maybe it would be out o whack with the rest of the region. ALNY had good news, but VPHM, CBST and ARNA had none, so maybe there was a biotech thing - but one that skipped MEDX and NOVC. TRLG had no news, but has been climbing pretty steadily. Maybe this is the short squeeze that Marshall predicted?
In other news, I've been climbing in the ranks over at the Motley Fool CAPS stock picking game. Players pick stocks to outperform or underperform the market. Players are ranked based on total difference from market performance (better than the market for outperform calls, worse than the market for underperform calls) as well as on accuracy - fraction of calls in the right direction. I've had some major swings, but I'm now in the 97th %ile, ranked 472 out of 21890 players. My accuracy is over 60%. Of course, I mention all that with the caveat that the game has been going on for too short a period to say anything that is statistically meaningful. Search for me as 'jamiemb.'
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