BUY signal the
week of 1.9.12 at $172.55. My first stop was $125.48, so my risk
(R)/share was $47.07. Closed Friday at $207.95 with a $160.91 stop. My
new stop for the coming week is $164.97. The percentage gain on this trade is +20.5%, and the reward-to-risk ratio is +$35.40/$47.07 = +0.75.
History (beginning in 2005):
History (beginning in 2005):
Winning Trades: 4 | 100.0% | +$39.89/share avg.
Losing Trades: 0 | 0.0% | -$0.00/share avg.
Average Trade: +122.6% | +$39.89/share | Reward-to-Risk (R): +6.98
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