U.S. Portfolio

I took too much time to buy. For example, I bought EVC for the first time on June 12. Since then, has risen more than 38%, but I bought very few quantities and I took too much time to buy more. I could have done better.

I've been buying and selling with a delay on average of 3 to 4 days when compared with the consensus of the technical indicators that I use. This has influenced the portfolio result because the US market has risen at a very fast rate. I will try to buy and sell more quickly.
However, I also have a US long term market timer portfolio in the forum and the two portfolios complement one another.
 
3 Buys:

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EVC is not going well.
However, I believe that, on the whole, things are going well, but things could get even better.
My goal with a majority of stocks is achieve a return greater than UPRO.
I know that this will be very difficult to achieve, but I am very exigent with myself.
If the market continue to move up and if I can't achieve this then I will change my strategy.
 
The portfolio reached yesterday a new annual maximum weekly.
All the trades are having profit results.
I would say that so far, so good.
 
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