The opinions expressed in these forums do not represent those of C2, and any discussion of profit/loss is not indicative of future performance or success. There is a substantial risk of loss in trading. You should therefore carefully consider whether such trading is suitable for you in light of your financial condition. You should read, understand, and consider the Risk Disclosure Statement that is provided by your broker before you consider trading. Most people who trade lose money.

Long Short Portfolio - Trading Record So Far

Long Short Portfolio - Closed Stock Trades So Far (Full Record, Exc Index Hedge)…

MTRN MATERION +$233
ECHO ECHO GLOBAL LOGISTICS +$1,250
RBBN RIBBON COMMUNICATION INC -$104
SCWX SECUREWORKS CORP. CLASS A +$2,128
COLL COLLEGIUM PHARMACEUTICAL INC. +$2,844
POWL POWELL INDUSTRIES +$869
VIVO MERIDIAN BIOSCIENCE +$2,103
AYI* ACUITY BRANDS -$2,155*
AVT AVNET +$375
SCHN SCHNITZER STEEL -$402
TG TREDEGAR CORPORATION +$932
SCWX SECUREWORKS CORP. CLASS A +$641
VNDA VANDA PHARMACEUTICALS -$210
DNOW NOW INC +$1,053
KFY KORN FERRY +$1,047
NSIT INSIGHT ENTERPRISES +$1,203
CMTL COMTECH TELECOMMUNICATIONS +$2,623
GLUU GLU MOBILE -$5
VPG VISHAY PRECISION GROUP +$440
HI HILLENBRAND -$575
NSIT INSIGHT ENTERPRISES +$288

*AYI was an error trade (earnings filter mismatch) which was fully disclosed/explained in my post of October 4th, which can be located here: Introducing "Long Short Portfolio" +10% in 4 Weeks. Market Neutral

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