Paper Trade Summary

Please note:

Todays Sells

The following 2 positions were held for an average of 29.5 days with an average trade return of -9.71% and the total portfolio return of -1.94%.
Ticker Buy Date Sell Date Days Held Buy Price Sell Price Return
PNI 2021-11-24 2022-01-18 55 16.52 13.11 -20.64%
XRO 2022-01-14 2022-01-18 4 119.11 120.56 1.22%

Todays Buys

Ticker Name Sector Buy Date Buy Price
GNC Graincorp Limited Ordinary Class A Consumer Staples 2022-01-18 8.11
GRR Grange Resources Limited Ordinary Materials 2022-01-18 0.82

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 16.8 days with a return of -5.87% and the total portfolio return of -5.87%.
Ticker Sector Buy Date Days Held Buy Price Current Price Return (Today) Return (Total)
AEF Financials 2021-11-11 68 13.85 10.89 -2.07% -21.37%
LOV Consumer Discretionary 2021-12-09 40 20.46 18.42 -0.86% -9.97%
SHL Health Care 2022-01-12 6 43.72 40.09 -0.45% -8.30%
WTC Information Technology 2021-12-23 26 58.67 54.06 -0.06% -7.86%
AVZ Materials 2022-01-17 1 0.865 0.8 -7.51% -7.51%
ASM Materials 2022-01-06 12 9.6 9.12 -0.11% -5.00%
ASX Financials 2022-01-04 14 92.22 91.65 0.13% -0.62%
GNC Consumer Staples 2022-01-18 0 8.11 8.11 0.00% 0.00%
GRR Materials 2022-01-18 0 0.82 0.82 0.00% 0.00%
JLG Industrials 2022-01-17 1 8.6 8.77 1.98% 1.98%