Bought 100% XIV at the close @ 28.21
Weekly update:
Year-to-date performance does not include current open trades.
Aggressive Model:
YTD: +40.5%
Current position: 50% TNA @ 63.06
Conservative Model:
YTD: +7.9%
Current position: 50% SPY @ 209.03
Volatility Model:
YTD (Beginning 7/5): -1.4%
Current position: Cash
Last edited by ripper; 07-10-2016 at 03:42 PM.
Bought 100% XIV at the close @ 28.21
Sold TNA @ 72.04
Bought 50% TZA @ 31.32
Sold XIV at the close @ 29.47
Weekly update:
Year-to-date performance does not include current open trades.
Aggressive Model:
YTD: +50.5%
Current position: 50% TZA @ 31.32
Conservative Model:
YTD: +7.9%
Current position: 50% SPY @ 209.03
Volatility Model:
YTD (Beginning 7/5): +3.0%
Current position: Cash
Bought XIV at the close at 30.08
At the close:
Sold XIV @ 30.03
Bought VXX @ 11.43
Sold VXX @ 11.23
Bought XIV at the close @ 30.01
Sold TZA @ 31.18
Bought 50% TNA @ 71.77
S&P500 (C Fund) (delayed) (Stockcharts.com Real-time) |
DWCPF (S Fund) (delayed) (Stockcharts.com Real-time) |
EFA (I Fund) (delayed) (Stockcharts.com Real-time) |
BND (F Fund) (delayed) (Stockcharts.com Real-time) |
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