USA Stock Portfolio 2012 Index

This is the complete listing of stocks and ongoing trades for my USA Stock Portfolio for 2012. I update the trades when there is a change. Select the stock’s name to view trades for the year including charts and comments. CURRENT STOCK PORTFOLIO POSITION: Capital Committed For 2012: $772,916.00 Total Capital In Use: $760,448.25 Margin Which May Be Required: $0.00 Income Earned To Date: $32897.75 Annual Percent Return: 4.1% STOCKS FOR 2012: Select a stock name to review the trades to date. AT&T  STOCK (T STOCK) Position Started: Jan 6 2011 Income To / Read More

 
USA Stock Portfolio 2011 Index

This is the complete listing of stocks and trades for my USA Stock Portfolio for 2011. Select the stock’s name to view trades for 2011 including charts and comments. 2011 STOCK PORTFOLIO POSITION: Capital Committed For 2011: $609,460.00 Total Capital In Use At Year End: $731,428.75 Margin Which Might Have Been Required At Year End: $121,968.75 Income Earned In 2011: $163,456.00 Annual Percent Return For 2011: 26.8% STOCKS FOR 2011: Select a stock name to review the trades for 2011. AT&T STOCK (T STOCK) For 2011 Position Started: Jan 6 2011 Income Earned / Read More

 
USA Stock Portfolio 2010 Index

This is the complete listing of stocks and trades for my USA Stock Portfolio for 2010. 2010 marked the first full year since the collapse of stocks in 2008 to 2009. The recovery though seemed shaky at times. However once the US Federal Reserve Chairman Ben Bernanke announced more quantative easing in late Spring 2010, stocks continued to climb. Select the stock’s name to view trades for including charts and comments. US  STOCK PORTFOLIO 2010: Capital Committed For 2010: $500,000.00 Total Capital In Use At Year End: $678,650.00 Margin Which Might Have Been / Read More

 
USA Stock Portfolio 2009 Bear Market Stock Trades

  These are trades I did following the March 2009 final collapse of the Bear Market. A stock market decline like that seen from Sept 2008 through into March 2009 are rare events. A decline that large usually is followed by an enormous run-up. It’s a rare chance to purchase stock at what I consider fire-sale prices and hold it for a few months without covered call writing and then sell the stocks for large profit gains. It is for just such events like the 2008 to 2009 market collapse that I keep / Read More

Disclaimer: There are risks involved in all investment strategies and investors can and do lose money. Trade at your own risk.

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