All model calculations on this day use intraday market data from prior to the closing auction.
All prices & return calculations on this page use the final closing auction price from the ASX.
Closing prices are adjusted for capital actions and dividents.
This site is updated every day, so prices may change due to adjustments but relative returns will not.
Todays Sells
The following 6 positions were held for an average of 5.2 days with an average trade return of -0.87% and the total portfolio return of -0.52%.
Ticker
Buy Date
Sell Date
Days Held
Buy Price
Sell Price
Return
RMS
2019-10-11
2019-10-15
4
1.28609
1.17891
-8.33%
NHF
2019-09-30
2019-10-15
15
6.8055
6.37666
-6.30%
WGX
2019-10-14
2019-10-15
1
2.08064
2.06138
-0.93%
FLT
2019-10-09
2019-10-15
6
37.5113
38.3575
2.26%
IRI
2019-10-14
2019-10-15
1
2.7533
2.85128
3.56%
CDA
2019-10-11
2019-10-15
4
5.29849
5.53933
4.55%
Todays Buys
Ticker
Name
Sector
Buy Date
Buy Price
EOS
Electro Optic Systems Holdings Limited Ordinary
Industrials
2019-10-15
6.8
FMG
Fortescue Metals Group Ltd Ordinary
Materials
2019-10-15
6.38505
HVN
Harvey Norman Holdings Limited Ordinary
Consumer Discretionary
2019-10-15
3.52324
JBH
JB HI-FI Limited Ordinary
Consumer Discretionary
2019-10-15
29.8334
NEC
Nine Entertainment Co. Holdings Limited Ordinary
Communication Services
2019-10-15
1.6092
PAR
Paradigm Biopharmaceuticals Limited. Ordinary
Health Care
2019-10-15
2.78
Current Portfolio
Please note it is common for our current holdings to have a negative return since our model tends to immedietly sell positions whenever they have strong positive returns. This is because our underlying multi factor model selects quality equities based on fundamentals while our shorter term trading AI focusses on the right timing to enter and exit.
Currently holding 10 positions for an average of 10.4 days with a return of -0.93% and the total portfolio return of -0.93%.