May 15, 2010
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The market bounced back, and I took the opportunity to unload some stocks and capture the profit. If possible, I will buy more Sun Life next week below $30 to as ex-dividend date is coming very soon.
Sold SLF at $30.30 Sold RCI.B at $36.80 Sold K at $18.80 |
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Short-term Portfolio
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C |
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DATE |
DESC |
BUY |
SELL |
GAIN/LOSS |
10-04-21 |
B200 @ $4.50 |
$909.95 |
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SUB-TOTAL |
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SLF.TO |
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DATE |
DESC |
BUY |
SELL |
GAIN/LOSS |
10-04-13 |
B200 @ $32.15 |
$6439.95 |
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10-04-16 |
B200 @ $31.60 |
$6329.95 |
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10-05-03 |
B200 @ $30.50 |
$6109.95 |
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10-05-07 |
B300 @ $29.46 |
$8847.95 |
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10-05-14 |
S300 @ $30.30 |
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$9080.05 |
$232.10 |
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SUB-TOTAL |
$232.10 |
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RCI-B.TO |
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DATE |
DESC |
BUY |
SELL |
GAIN/LOSS |
10-05-12 |
B100 @ $35.50 |
$3559.95 |
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10-05-13 |
S100 @ $36.80 |
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$3670.05 |
$110.10 |
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SUB-TOTAL |
$110.10 |
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K.TO |
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DATE |
DESC |
BUY |
SELL |
GAIN/LOSS |
10-03-11 |
B300 @ $19.36 |
$5817.95 |
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10-05-10 |
B300 @ $18.36 |
$5517.95 |
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10-05-14 |
S300 @ $18.80 |
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$5630.05 |
$112.10 |
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SUB-TOTAL |
$112.10 |
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Total gain until May14th is $6,897.14, annual rate of return is 11.21%
Cotton Seed
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Posted in Investment Diary我的投資日記 |
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