|
|
| 2005-2006 Portfolio |
 |
My portfolio will invest in areas that have tended to outperform during an initial bear market recovery. The following criteria are used to select stocks: positive money flow, an improving sector, and cyclical timing for an economic recovery.
| Symbol |
Shares Owned |
Purchase Price |
*Market Price |
Change |
Total Invested |
Current Value |
$ Gain / Loss |
% Gain / Loss |
| (Sold) |
100 |
12.86 |
** 22.50 |
+9.64 |
1,286.00 |
2,250.00 |
+964.00 |
+74.96% |
| (Sold) |
100 |
13.15 |
** 30.53 |
+17.38 |
1,315.00 |
3,053.00 |
+1,738.00 |
+132.17% |
| (Sold) |
100 |
7.99 |
** 10.73 |
+2.74 |
799.00 |
1,073.00 |
+274.00 |
+34.29% |
| (Sold) |
100 |
18.05 |
** 15.39 |
-2.66 |
1,805.00 |
1,539.00 |
-266.00 |
-14.74% |
| (Sold) |
100 |
11.95 |
** 10.15 |
-1.80 |
1,195.00 |
1,015.00 |
-180.00 |
-15.06% |
| (Sold) |
100 |
4.33 |
** 5.78 |
+1.45 |
433.00 |
578.00 |
+145.00 |
+33.49% |
| (Sold) |
100 |
15.68 |
** 25.12 |
+9.44 |
1,568.00 |
2,512.00 |
+944.00 |
+60.20% |
| (Sold) |
100 |
12.06 |
** 12.78 |
+0.72 |
1,206.00 |
1,278.00 |
+72.00 |
+5.97% |
| (Sold) |
100 |
39.25 |
** 85.01 |
+45.76 |
3,925.00 |
8,501.00 |
+4,576.00 |
+116.59% |
| (Sold) |
100 |
8.61 |
** 7.41 |
-1.20 |
861.00 |
741.00 |
-120.00 |
-13.94% |
| (Sold) |
100 |
16.50 |
** 13.93 |
-2.57 |
1,650.00 |
1,393.00 |
-257.00 |
-15.58% |
| (Sold) |
100 |
26.60 |
** 22.00 |
-4.60 |
2,660.00 |
2,200.00 |
-460.00 |
-17.29% |
| (Sold) |
100 |
7.2 |
** 8.19 |
+0.99 |
720.00 |
819.00 |
+99.00 |
+13.75% |
| Totals |
|
$19,423.00 |
$26,952.00 |
$7,529.00 |
38.76% |
| Cash Balance |
|
$32,916.00 |
|
Stock quote data from
*Delayed 20 minutes.
**Price at time of sale
| Pro Picks Comments January 10, 2007: |
 |
I sold China Petroleum & Chemical (SNP) as I wanted to protect the profits we have made on this stock. With the sale of SNP, this now closes the 2005-2006 Pro Picks Portfolio.
Sincerely,
Kenneth Coleman
|
|
 |