Showing posts with label marketocracy portfolio. Show all posts
Showing posts with label marketocracy portfolio. Show all posts

Monday, 4 April 2011

Marketocracy Portfolio As At 5th April 2011




left curve recent returns right curve


RETURNS
Last Week 0.93%
Last Month 2.27%
Last 3 Months 4.09%
Last 6 Months 18.36%
Last 12 Months 16.07%
Last 2 Years 101.97%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 56.02%
(Annualized) 18.00%
S&P500 RETURNS
Last Week 1.45%
Last Month 1.96%
Last 3 Months 6.45%
Last 6 Months 17.38%
Last 12 Months 15.36%
Last 2 Years 71.19%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 12.62%
(Annualized) 4.52%
RETURNS VS S&P500
Last Week -0.51%
Last Month 0.30%
Last 3 Months -2.36%
Last 6 Months 0.98%
Last 12 Months 0.70%
Last 2 Years 30.77%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 43.41%
(Annualized) 13.48%



price history right curve


[download spreadsheet]


graph of fund vs. market indexes


recent returns right curve


RETURNS
Last Week 0.93%
Last Month 2.27%
Last 3 Months 4.09%
Last 6 Months 18.36%
Last 12 Months 16.07%
Last 2 Years 101.97%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 56.02%
(Annualized) 18.00%
S&P500 RETURNS
Last Week 1.45%
Last Month 1.96%
Last 3 Months 6.45%
Last 6 Months 17.38%
Last 12 Months 15.36%
Last 2 Years 71.19%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 12.62%
(Annualized) 4.52%
RETURNS VS S&P500
Last Week -0.51%
Last Month 0.30%
Last 3 Months -2.36%
Last 6 Months 0.98%
Last 12 Months 0.70%
Last 2 Years 30.77%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 43.41%
(Annualized) 13.48%



left curve alpha/beta vs. S&P500 right curve


Alpha 13.36%
Beta 1.14
R-Squared 0.77



left curve turnover right curve


Last Month 11.38%
Last 3 Months 22.39%
Last 6 Months 31.87%
Last 12 Months 97.52%





Symbol Days Held First Trade Last Trade Gains Value Inception Return
F 710 Apr 24, 2009 Aug 12, 2010 $131,765.20 $124,800.00 48.95%
C 767 Feb 26, 2009 Jul 22, 2010 $86,577.36 $110,125.00 24.79%
WFMI 325 May 14, 2010 May 17, 2010 $63,680.39 $165,975.00 62.25%
QSII 720 Apr 14, 2009 Jun 22, 2009 $62,452.77 $130,890.00 52.04%
FMC 404 Feb 24, 2010 Feb 24, 2010 $46,504.50 $130,155.15 55.22%
BAC 767 Feb 26, 2009 Oct 21, 2010 $44,213.53 $187,880.00 13.01%
PLD 573 Sep 08, 2009 Sep 09, 2009 $40,775.55 $130,334.49 45.53%
GE 522 Oct 29, 2009 Oct 29, 2009 $22,723.15 $81,960.40 38.36%
PVSW 14 Mar 21, 2011 Mar 23, 2011 $20,576.58 $121,912.24 20.31%
KBH 726 Apr 08, 2009 Jan 13, 2011 $7,144.27 $72,900.00 4.00%
AFL 158 Oct 28, 2010 Oct 28, 2010 -$737.55 $81,390.00 -0.88%
NSR 80 Jan 14, 2011 Jan 14, 2011 -$2,704.43 $64,850.00 -4.00%
CIM 14 Mar 21, 2011 Mar 21, 2011 -$10,477.33 $97,250.00 -9.73%




Close Date Type Symbol Shares Net Avg. Price Net
Mar 23, 2011 Buy PVSW 8,977 $6.1055 $54,809.44
Mar 22, 2011 Buy PVSW 1,018 $5.8247 $5,929.55
Mar 21, 2011 Buy PVSW 7,224 $5.6197 $40,596.67
Mar 21, 2011 Buy CIM 25,000 $4.3091 $107,727.33
Mar 21, 2011 Sell BP 3,000 $45.563 $136,688.89
Jan 14, 2011 Buy NSR 2,500 $27.0218 $67,554.43

Tuesday, 21 December 2010

Marketocracy Portfolio As At 22 December 2010

price history right curve
[download spreadsheet]
graph of fund vs. market indexes
SMF m100 S&P 500 DJIA Nasdaq
Graph Period: [7 Days] [30 Days] [90 Days] [6 Months] [1 Year] [2 Years] [3 Years]
[4 Years] [5 Years] [Since Inception]
left curve recent returns vs. major indexes right curve
Beating Today MTD QTD YTD
SMF 1.02% 8.26% 13.20% 17.02%
S&P 500 0.60% 5.73% 9.76% 14.03%
DOW 0.48% 4.29% 6.40% 10.07%
Nasdaq 0.68% 6.06% 11.86% 16.76%

recent returns right curve
RETURNS
Last Week 1.17%
Last Month 6.82%
Last 3 Months 14.72%
Last 6 Months 20.57%
Last 12 Months 18.88%
Last 2 Years 110.06%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 47.82%
(Annualized) 17.62%
S&P500 RETURNS
Last Week 0.54%
Last Month 4.11%
Last 3 Months 9.95%
Last 6 Months 15.34%
Last 12 Months 15.41%
Last 2 Years 46.90%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 4.85%
(Annualized) 1.99%
RETURNS VS S&P500
Last Week 0.62%
Last Month 2.70%
Last 3 Months 4.77%
Last 6 Months 5.23%
Last 12 Months 3.47%
Last 2 Years 63.16%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 42.97%
(Annualized) 15.64%
left curve alpha/beta vs. S&P500 right curve
Alpha 15.77%
Beta 1.15
R-Squared 0.78
left curve turnover right curve
Last Month 0.00%
Last 3 Months 9.49%
Last 6 Months 29.37%
Last 12 Months 111.43%

Symbol Price Shares Value Portion of Fund Inception Return
NYB $18.35 6,000 $110,100.00 7.37% 67.50%
FMC $80.25 1,500 $120,375.00 8.06% 43.39% Details
F $16.99 8,000 $135,920.00 9.10% 53.08% Details
QSII $71.30 1,500 $106,950.00 7.16% 32.09% Details
PLD $14.26 8,118 $115,762.68 7.75% 29.26% Details MIDDLE
C $4.74 25,000 $118,500.00 7.94% 27.19%
BP $43.54 3,000 $130,620.00 8.75% 27.41%
WFMI $51.35 2,500 $128,375.00 8.60% 25.50%
GE $17.90 4,000 $71,600.00 4.79% 20.87%
UCO $12.06 6,000 $72,360.00 4.85% 17.35% Details
AFL $56.60 1,500 $84,900.00 5.69% 1.70% Details
BAC $12.98 14,000 $181,720.00 12.17% 11.20% Details

Close Date Type Symbol Shares Net Avg. Price Net
Oct 29, 2010 Sell SUN 3,000 $37.4391 $112,317.29
Oct 28, 2010 Buy AFL 1,500 $55.6517 $83,477.58
Oct 21, 2010 Buy BAC 5,000 $11.75 $58,750.02
Aug 17, 2010 Sell POT 1,000 $140.3169 $140,316.93
Aug 12, 2010 Buy F 8,000 $12.4259 $99,407.51

Tuesday, 9 November 2010

Marketocracy Portfolio As At 9 November 2010

graph of fund vs. market indexes




left curve recent returns vs. major indexes right curve
Beating Today MTD QTD YTD
SMF 0.13% 6.88% 9.80% 13.51%
S&P 500 -0.10% 3.44% 7.37% 11.55%
DOW -0.19% 2.59% 5.74% 9.39%
Nasdaq 0.01% 2.90% 8.93% 13.70%

recent returns right curve
RETURNS
Last Week 6.68%
Last Month 6.47%
Last 3 Months 13.65%
Last 6 Months 7.31%
Last 12 Months 23.98%
Last 2 Years 105.75%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 43.38%
(Annualized) 17.02%
S&P500 RETURNS
Last Week 3.34%
Last Month 5.10%
Last 3 Months 9.67%
Last 6 Months 5.42%
Last 12 Months 16.72%
Last 2 Years 37.54%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 2.57%
(Annualized) 1.11%
RETURNS VS S&P500
Last Week 3.34%
Last Month 1.36%
Last 3 Months 3.97%
Last 6 Months 1.88%
Last 12 Months 7.26%
Last 2 Years 68.22%
Last 3 Years N/A
Last 5 Years N/A
Since Inception 40.82%
(Annualized) 15.91%
left curve alpha/beta vs. S&P500 right curve
Alpha 16.18%
Beta 1.15
R-Squared 0.77
left curve turnover right curve
Last Month 9.49%
Last 3 Months 19.19%
Last 6 Months 47.23%
Last 12 Months 131.20%



Symbol Price Shares Value Portion of Fund Gains Inception Return
NYB $17.15 6,000 $102,900.00 7.16% $37,167.27 56.54%
FMC $77.04 1,500 $115,560.00 8.04% $31,721.85 37.67% Details
PLD $14.74 8,118 $119,618.73 8.32% $30,059.79 33.56% Details
F $16.48 8,000 $131,840.00 9.17% $138,804.57 51.57% Details
BP $44.09 3,000 $132,270.00 9.20% $43,548.12 28.49% Details MIDDLE
QSII $63.94 1,500 $95,910.00 6.67% $27,472.77 22.89%
C $4.44 25,000 $111,000.00 7.72% $87,454.95 25.04%
UCO $11.69 6,000 $70,140.00 4.88% $8,479.31 13.75%
WFMI $46.24 2,500 $115,600.00 8.04% $13,305.39 13.01%
GE $16.72 4,000 $66,882.00 4.65% $7,644.75 12.91% Details
AFL $57.33 1,500 $85,995.00 5.98% $2,517.42 3.02% Details
BAC $12.54 14,000 $175,560.00 12.21% $31,893.53 9.39% Details


[download spreadsheet]
Close Date Type Symbol Shares Net Avg. Price Net
Oct 29, 2010 Sell SUN 3,000 $37.4391 $112,317.29 Details
Oct 28, 2010 Buy AFL 1,500 $55.6517 $83,477.58 Details
Oct 21, 2010 Buy BAC 5,000 $11.75 $58,750.02 Details
Aug 17, 2010 Sell POT 1,000 $140.3169 $140,316.93 Details
Aug 12, 2010 Buy F 8,000 $12.4259 $99,407.51 Details
Jul 29, 2010 Sell NVDA 9,000 $9.1826 $82,643.21 Details
Jul 22, 2010 Sell C 5,000 $4.0199 $20,099.65 Details
Jul 22, 2010 Buy UCO 6,000 $10.2768 $61,660.69 Details
Jul 12, 2010 Sell BP 1,750 $36.6356 $64,112.22 Details
Jun 25, 2010 Buy BP 800 $27.55 $22,040.00 Details
Jun 14, 2010 Buy BP 1,500 $31.4431 $47,164.65 Details
Jun 11, 2010 Buy BP 2,000 $34.1535 $68,306.95 Details