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Amazon.com Inc. (NasdaqGS:AMZN)

NasdaqGS:AMZN

Stock Performance

Overall Statistics
Total Trades:   58
Winning Trades:   28
Losing Trades:   30
Success Rate %:   48.28%
Biggest % Gain:   19.75%
Biggest % Loss   -10.00%
 
Year Days In % Gain Account
$10,000.00
2009 120 days 57.27% $15,727.46
2010 89 days 17.37% $18,458.82
2011 100 days -1.20% $18,237.02
2012 77 days 19.13% $21,726.32
2013 130 days -13.25% $18,846.55
2014 115 days -26.06% $13,935.63
2015 74 days 27.06% $17,706.96
2016 149 days 27.03% $22,494.00
2017 68 days 4.13% $23,422.45
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-06-09 SHORT 976.00 (839.36 / 1073.60) (Open Position)
2017-05-17 SHORT 944.33 (812.12 / 1038.76) 2017-05-25 COVER 993.00 48.67 (-5.15%) 6 days 134.22% $23,422.45 Indicators Changed
2017-02-13 BUY 836.53 (953.64 / 752.88) 2017-04-13 SELL 884.67 48.14 (5.75%) 42 days 146.95% $24,695.26 Indicators Changed
2017-01-05 BUY 780.45 (889.71 / 702.41) 2017-02-03 SELL 810.20 29.75 (3.81%) 20 days 133.51% $23,351.45 Indicators Changed
2016-12-27 BUY 771.40 (879.40 / 694.26) 2016-12-30 SELL 749.87 -21.53 (-2.79%) 3 days 124.94% $22,494.00 Indicators Changed
2016-10-28 SHORT 775.88 (667.26 / 853.47) 2016-12-13 COVER 774.34 -1.54 (0.20%) 31 days 131.40% $23,139.84 Indicators Changed
2016-07-06 BUY 737.61 (840.88 / 663.85) 2016-10-04 SELL 834.03 96.42 (13.07%) 63 days 130.94% $23,094.00 Take Profits
2016-03-23 BUY 569.63 (649.38 / 512.67) 2016-04-29 SELL 659.59 89.96 (15.79%) 26 days 104.24% $20,424.16 Take Profits
2016-01-28 BUY 635.35 (724.30 / 571.82) 2016-01-29 SELL 571.82 -63.53 (-10.00%) 1 day 76.39% $17,638.56 Exit on STOP
2015-12-11 SHORT 640.15 (550.53 / 704.17) 2016-01-20 COVER 571.77 -68.38 (10.68%) 25 days 95.98% $19,598.40 Take Profits
2015-09-28 SHORT 505.12 (434.40 / 555.63) 2015-10-06 COVER 537.48 32.36 (-6.41%) 6 days 77.07% $17,706.96 Indicators Changed
2015-07-10 BUY 443.51 (505.60 / 399.16) 2015-07-24 SELL 530.50 86.99 (19.61%) 10 days 89.19% $18,918.99 Take Profits
2015-06-03 BUY 436.59 (497.71 / 392.93) 2015-06-29 SELL 429.86 -6.73 (-1.54%) 18 days 58.17% $15,816.70 Indicators Changed
2015-04-20 BUY 389.80 (444.37 / 350.82) 2015-04-24 SELL 445.10 55.30 (14.19%) 4 days 60.64% $16,064.33 Take Profits
2015-04-06 BUY 377.04 (429.83 / 339.34) 2015-04-17 SELL 375.56 -1.48 (-0.39%) 9 days 40.68% $14,068.47 Indicators Changed
2015-01-30 BUY 354.53 (404.16 / 319.08) 2015-02-24 SELL 378.59 24.06 (6.79%) 16 days 41.24% $14,123.91 Indicators Changed
2015-01-06 SHORT 295.29 (253.95 / 324.82) 2015-01-22 COVER 310.32 15.03 (-5.09%) 11 days 32.26% $13,226.32 Indicators Changed
2014-10-24 SHORT 287.06 (246.87 / 315.77) 2014-11-13 COVER 315.77 28.71 (-10.00%) 14 days 39.36% $13,935.63 Exit on STOP
2014-09-19 BUY 331.32 (377.70 / 298.19) 2014-09-22 SELL 324.51 -6.81 (-2.06%) 1 day 54.84% $15,484.03 Indicators Changed
2014-08-14 BUY 333.21 (379.86 / 299.89) 2014-09-09 SELL 329.75 -3.46 (-1.04%) 17 days 58.09% $15,808.97 Indicators Changed
2014-07-11 BUY 346.19 (394.66 / 311.57) 2014-07-25 SELL 324.01 -22.18 (-6.41%) 10 days 59.75% $15,974.85 Indicators Changed
2014-05-13 BUY 304.64 (347.29 / 274.18) 2014-07-08 SELL 323.81 19.17 (6.29%) 38 days 70.68% $17,068.40 Indicators Changed
2014-04-25 SHORT 303.83 (261.29 / 334.21) 2014-05-12 COVER 302.86 -0.97 (0.32%) 11 days 60.58% $16,057.93 Indicators Changed
2014-03-04 BUY 363.90 (414.85 / 327.51) 2014-03-26 SELL 343.41 -20.49 (-5.63%) 16 days 60.07% $16,006.83 Indicators Changed
2014-01-21 BUY 407.05 (464.04 / 366.35) 2014-01-31 SELL 366.35 -40.70 (-10.00%) 8 days 69.62% $16,961.90 Exit on STOP
2013-10-18 BUY 328.93 (374.98 / 296.04) 2013-11-07 SELL 343.56 14.63 (4.45%) 14 days 88.47% $18,846.55 Indicators Changed
2013-07-24 SHORT 298.94 (257.09 / 328.83) 2013-09-17 COVER 304.17 5.23 (-1.75%) 38 days 80.44% $18,044.05 Indicators Changed
2013-05-28 BUY 267.29 (304.71 / 240.56) 2013-06-21 SELL 273.36 6.07 (2.27%) 18 days 83.65% $18,365.36 Indicators Changed
2013-05-10 BUY 263.63 (300.54 / 237.27) 2013-05-23 SELL 261.80 -1.83 (-0.69%) 9 days 79.58% $17,957.55 Indicators Changed
2013-04-23 BUY 268.90 (306.55 / 242.01) 2013-04-26 SELL 254.81 -14.09 (-5.24%) 3 days 80.83% $18,083.08 Indicators Changed
2013-03-14 SHORT 265.74 (228.54 / 292.31) 2013-04-10 COVER 264.77 -0.97 (0.37%) 18 days 90.83% $19,083.00 Indicators Changed
2013-01-29 SHORT 260.35 (223.90 / 286.39) 2013-03-04 COVER 273.11 12.76 (-4.90%) 23 days 90.14% $19,013.60 Indicators Changed
2012-12-26 SHORT 248.63 (213.82 / 273.49) 2013-01-07 COVER 268.46 19.83 (-7.98%) 7 days 99.93% $19,993.50 Indicators Changed
2012-10-10 SHORT 244.99 (210.69 / 269.49) 2012-11-19 COVER 229.71 -15.28 (6.24%) 26 days 117.26% $21,726.32 Indicators Changed
2012-07-11 SHORT 218.37 (187.80 / 240.21) 2012-07-27 COVER 237.32 18.95 (-8.68%) 12 days 104.51% $20,450.81 Indicators Changed
2012-04-25 BUY 194.42 (221.64 / 174.98) 2012-04-27 SELL 226.85 32.43 (16.68%) 2 days 123.94% $22,394.16 Take Profits
2012-03-07 BUY 183.77 (209.50 / 165.39) 2012-03-27 SELL 205.44 21.67 (11.79%) 14 days 91.93% $19,192.74 Take Profits
2012-02-13 BUY 191.59 (218.41 / 172.43) 2012-02-16 SELL 179.93 -11.66 (-6.09%) 3 days 71.68% $17,168.27 Indicators Changed
2012-01-03 BUY 179.03 (204.09 / 161.13) 2012-02-01 SELL 179.46 0.43 (0.24%) 20 days 82.81% $18,280.83 Indicators Changed
2011-10-26 SHORT 198.40 (170.62 / 218.24) 2011-10-28 COVER 218.24 19.84 (-10.00%) 2 days 82.37% $18,237.02 Exit on STOP
2011-08-29 BUY 206.53 (235.44 / 185.88) 2011-09-16 SELL 239.30 32.77 (15.87%) 13 days 102.63% $20,263.36 Take Profits
2011-07-27 BUY 222.52 (253.67 / 200.27) 2011-08-02 SELL 211.70 -10.82 (-4.86%) 4 days 74.88% $17,488.47 Indicators Changed
2011-05-16 SHORT 192.51 (165.56 / 211.76) 2011-06-21 COVER 194.23 1.72 (-0.89%) 25 days 83.82% $18,382.31 Indicators Changed
2011-03-24 BUY 171.10 (195.05 / 153.99) 2011-04-26 SELL 182.30 11.20 (6.55%) 22 days 85.48% $18,548.03 Indicators Changed
2011-02-08 BUY 183.06 (208.69 / 164.75) 2011-02-22 SELL 180.42 -2.64 (-1.44%) 9 days 74.08% $17,408.49 Indicators Changed
2010-12-20 BUY 183.29 (208.95 / 164.96) 2011-01-26 SELL 175.39 -7.90 (-4.31%) 25 days 76.63% $17,663.22 Indicators Changed
2010-11-24 BUY 177.25 (202.06 / 159.53) 2010-12-08 SELL 176.29 -0.96 (-0.54%) 9 days 84.59% $18,458.82 Indicators Changed
2010-09-01 BUY 132.49 (151.04 / 119.24) 2010-09-20 SELL 151.30 18.81 (14.20%) 12 days 85.59% $18,559.33 Take Profits
2010-07-09 BUY 117.26 (133.68 / 105.53) 2010-08-24 SELL 124.53 7.27 (6.20%) 32 days 62.52% $16,251.99 Indicators Changed
2010-06-14 BUY 123.83 (141.17 / 111.45) 2010-06-25 SELL 121.00 -2.83 (-2.29%) 9 days 53.03% $15,303.21 Indicators Changed
2010-06-02 BUY 126.31 (143.99 / 113.68) 2010-06-08 SELL 118.84 -7.47 (-5.91%) 4 days 56.61% $15,661.13 Indicators Changed
2010-03-01 BUY 124.54 (141.98 / 112.09) 2010-04-01 SELL 131.81 7.27 (5.84%) 23 days 66.46% $16,645.55 Indicators Changed
2009-10-23 BUY 118.49 (135.08 / 106.64) 2009-11-19 SELL 128.99 10.50 (8.86%) 19 days 57.27% $15,727.46 Indicators Changed
2009-09-10 BUY 83.85 (95.59 / 75.47) 2009-10-08 SELL 95.22 11.37 (13.56%) 20 days 44.47% $14,447.22 Take Profits
2009-08-20 BUY 84.09 (95.86 / 75.68) 2009-09-02 SELL 78.14 -5.95 (-7.08%) 9 days 27.22% $12,722.11 Indicators Changed
2009-05-26 BUY 78.39 (89.36 / 70.55) 2009-07-23 SELL 93.87 15.48 (19.75%) 41 days 36.91% $13,690.84 Take Profits
2009-05-19 BUY 77.87 (88.77 / 70.08) 2009-05-21 SELL 75.96 -1.91 (-2.45%) 2 days 14.33% $11,433.10 Indicators Changed
2009-03-31 BUY 73.44 (83.72 / 66.10) 2009-04-15 SELL 74.71 1.27 (1.73%) 10 days 17.21% $11,720.58 Indicators Changed
2009-02-24 BUY 65.60 (74.78 / 59.04) 2009-03-23 SELL 75.58 9.98 (15.21%) 19 days 15.21% $11,521.34 Take Profits

 

* Start and End dates are the dates on which signals are generated.

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