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Brookfield Asset Management Inc. (Toronto:BAM-A.CA)

Toronto:BAM-A.TO

Stock Performance

Overall Statistics
Total Trades:   68
Winning Trades:   25
Losing Trades:   43
Success Rate %:   36.76%
Biggest % Gain:   14.47%
Biggest % Loss   -9.00%
 
Year Days In % Gain Account
$10,000.00
2009 108 days 22.84% $12,284.19
2010 128 days 13.16% $13,900.44
2011 194 days -11.44% $12,310.13
2012 157 days -3.93% $11,826.67
2013 69 days -5.60% $11,164.52
2014 205 days 36.86% $15,279.96
2015 82 days 16.76% $17,841.14
2016 149 days 24.48% $22,208.22
2017 169 days 9.07% $24,221.56
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-09-18 BUY 49.35 (55.77 / 44.91) 2017-10-25 SELL 53.25 3.90 (7.90%) 26 days 142.22% $24,221.56 Indicators Changed
2017-08-08 BUY 49.02 (55.39 / 44.61) 2017-09-08 SELL 47.40 -1.62 (-3.30%) 22 days 124.48% $22,447.58 Indicators Changed
2017-06-23 BUY 51.38 (58.06 / 46.76) 2017-07-27 SELL 48.41 -2.97 (-5.78%) 23 days 132.15% $23,214.78 Indicators Changed
2017-02-06 BUY 46.07 (52.06 / 41.92) 2017-05-11 SELL 52.15 6.08 (13.20%) 66 days 146.39% $24,639.03 Take Profits
2017-01-13 BUY 44.84 (50.67 / 40.80) 2017-02-02 SELL 44.75 -0.09 (-0.20%) 14 days 117.66% $21,766.44 Indicators Changed
2016-12-13 BUY 44.64 (50.44 / 40.62) 2017-01-11 SELL 43.84 -0.80 (-1.79%) 18 days 118.10% $21,810.22 Indicators Changed
2016-11-07 BUY 47.00 (53.11 / 42.77) 2016-11-10 SELL 46.03 -0.97 (-2.06%) 3 days 122.08% $22,208.22 Indicators Changed
2016-09-20 BUY 44.10 (49.83 / 40.13) 2016-10-20 SELL 47.25 3.15 (7.14%) 21 days 126.76% $22,676.21 Indicators Changed
2016-08-15 SHORT 45.00 (39.15 / 49.05) 2016-09-02 COVER 44.63 -0.37 (0.82%) 14 days 111.64% $21,164.47 Indicators Changed
2016-07-08 BUY 44.10 (49.83 / 40.13) 2016-08-02 SELL 44.07 -0.03 (-0.07%) 16 days 109.92% $20,991.87 Indicators Changed
2016-05-16 BUY 44.50 (50.28 / 40.50) 2016-06-13 SELL 43.81 -0.69 (-1.55%) 19 days 110.06% $21,006.16 Indicators Changed
2016-04-11 SHORT 42.49 (36.97 / 46.31) 2016-05-04 COVER 43.60 1.11 (-2.61%) 17 days 113.37% $21,337.00 Indicators Changed
2016-02-16 BUY 41.25 (46.61 / 37.54) 2016-04-01 SELL 45.07 3.82 (9.26%) 32 days 119.09% $21,909.36 Indicators Changed
2015-12-31 SHORT 43.65 (37.98 / 47.58) 2016-02-09 COVER 38.24 -5.41 (12.39%) 27 days 100.52% $20,052.38 Take Profits
2015-11-20 BUY 45.82 (51.78 / 41.70) 2015-12-08 SELL 44.31 -1.51 (-3.30%) 12 days 78.41% $17,841.14 Indicators Changed
2015-09-25 BUY 41.74 (47.17 / 37.98) 2015-10-27 SELL 46.97 5.23 (12.53%) 21 days 84.49% $18,449.14 Take Profits
2015-07-28 SHORT 44.58 (38.78 / 48.59) 2015-09-09 COVER 40.92 -3.66 (8.21%) 29 days 63.95% $16,394.87 Indicators Changed
2015-03-20 BUY 68.71 (77.64 / 62.53) 2015-04-21 SELL 68.13 -0.58 (-0.84%) 20 days 51.51% $15,150.98 Indicators Changed
2014-10-20 BUY 51.56 (58.26 / 46.92) 2014-12-24 SELL 58.22 6.66 (12.92%) 47 days 52.80% $15,279.96 Take Profits
2014-09-25 SHORT 50.50 (43.94 / 55.05) 2014-10-17 COVER 51.17 0.67 (-1.33%) 15 days 35.32% $13,532.03 Indicators Changed
2014-09-17 BUY 52.04 (58.81 / 47.36) 2014-09-19 SELL 51.95 -0.09 (-0.17%) 2 days 37.14% $13,713.98 Indicators Changed
2014-06-27 BUY 46.88 (52.97 / 42.66) 2014-08-26 SELL 52.57 5.69 (12.14%) 40 days 37.38% $13,737.74 Take Profits
2014-05-09 BUY 46.78 (52.86 / 42.57) 2014-06-26 SELL 46.27 -0.51 (-1.09%) 33 days 22.51% $12,250.81 Indicators Changed
2014-02-07 BUY 41.37 (46.75 / 37.65) 2014-04-21 SELL 46.29 4.92 (11.89%) 47 days 23.86% $12,385.84 Take Profits
2013-12-27 BUY 41.08 (46.42 / 37.38) 2014-02-05 SELL 40.73 -0.35 (-0.85%) 21 days 10.69% $11,069.39 Indicators Changed
2013-11-15 BUY 42.16 (47.64 / 38.37) 2013-12-10 SELL 40.58 -1.58 (-3.75%) 17 days 11.65% $11,164.52 Indicators Changed
2013-09-10 BUY 37.56 (42.44 / 34.18) 2013-10-08 SELL 38.64 1.08 (2.88%) 20 days 15.99% $11,599.21 Indicators Changed
2013-03-12 SHORT 36.59 (31.83 / 39.88) 2013-04-08 COVER 36.60 0.01 (-0.03%) 19 days 12.75% $11,275.01 Indicators Changed
2013-03-01 BUY 38.22 (43.19 / 34.78) 2013-03-11 SELL 37.39 -0.83 (-2.17%) 6 days 12.78% $11,278.09 Indicators Changed
2013-02-20 BUY 37.77 (42.68 / 34.37) 2013-02-21 SELL 37.42 -0.35 (-0.93%) 1 day 15.28% $11,528.45 Indicators Changed
2013-02-07 BUY 36.65 (41.41 / 33.35) 2013-02-15 SELL 36.06 -0.59 (-1.61%) 6 days 16.36% $11,636.28 Indicators Changed
2012-11-09 SHORT 32.76 (28.50 / 35.71) 2012-12-19 COVER 35.04 2.28 (-6.96%) 28 days 18.27% $11,826.67 Indicators Changed
2012-10-16 BUY 32.92 (37.20 / 29.96) 2012-11-08 SELL 32.87 -0.05 (-0.15%) 17 days 27.11% $12,711.34 Indicators Changed
2012-09-12 BUY 33.55 (37.91 / 30.53) 2012-09-17 SELL 33.32 -0.23 (-0.69%) 3 days 27.31% $12,730.67 Indicators Changed
2012-06-06 BUY 31.64 (35.75 / 28.79) 2012-08-28 SELL 33.52 1.88 (5.94%) 59 days 28.19% $12,818.55 Indicators Changed
2012-05-25 BUY 31.66 (35.78 / 28.81) 2012-06-04 SELL 30.46 -1.20 (-3.79%) 6 days 21.00% $12,099.61 Indicators Changed
2012-04-18 BUY 30.69 (34.68 / 27.93) 2012-04-23 SELL 30.64 -0.05 (-0.16%) 3 days 25.76% $12,576.28 Indicators Changed
2012-03-13 SHORT 24.10 (20.97 / 26.27) 2012-03-26 COVER 26.27 2.17 (-9.00%) 9 days 25.97% $12,596.81 Exit on STOP
2011-12-22 BUY 27.07 (30.59 / 24.63) 2012-02-06 SELL 30.44 3.37 (12.45%) 32 days 38.43% $13,842.65 Take Profits
2011-12-05 BUY 27.47 (31.04 / 25.00) 2011-12-14 SELL 26.36 -1.11 (-4.04%) 7 days 23.10% $12,310.13 Indicators Changed
2011-09-26 BUY 27.27 (30.82 / 24.82) 2011-11-23 SELL 26.28 -0.99 (-3.63%) 41 days 28.29% $12,828.50 Indicators Changed
2011-09-15 BUY 27.80 (31.41 / 25.30) 2011-09-21 SELL 26.14 -1.66 (-5.97%) 4 days 33.12% $13,311.77 Indicators Changed
2011-08-29 BUY 27.64 (31.23 / 25.15) 2011-09-12 SELL 26.63 -1.01 (-3.65%) 9 days 41.57% $14,157.12 Indicators Changed
2011-08-15 BUY 28.77 (32.51 / 26.18) 2011-08-22 SELL 26.92 -1.85 (-6.43%) 5 days 46.94% $14,694.06 Indicators Changed
2011-07-14 SHORT 30.33 (26.39 / 33.06) 2011-08-08 COVER 25.94 -4.39 (14.47%) 16 days 57.04% $15,703.87 Take Profits
2011-05-26 BUY 31.21 (35.27 / 28.40) 2011-07-13 SELL 30.58 -0.63 (-2.02%) 33 days 37.18% $13,718.27 Indicators Changed
2011-04-20 BUY 30.07 (33.98 / 27.36) 2011-05-24 SELL 30.38 0.31 (1.03%) 22 days 40.01% $14,000.89 Indicators Changed
2011-03-21 BUY 30.15 (34.07 / 27.44) 2011-04-12 SELL 29.46 -0.69 (-2.29%) 16 days 38.58% $13,858.02 Indicators Changed
2011-02-28 BUY 31.90 (36.05 / 29.03) 2011-03-03 SELL 30.20 -1.70 (-5.33%) 3 days 41.83% $14,182.60 Indicators Changed
2010-12-01 BUY 29.46 (33.29 / 26.81) 2011-01-27 SELL 31.75 2.29 (7.77%) 38 days 49.81% $14,980.96 Indicators Changed
2010-09-16 BUY 27.22 (30.76 / 24.77) 2010-10-27 SELL 29.63 2.41 (8.85%) 28 days 39.00% $13,900.44 Indicators Changed
2010-08-17 BUY 26.11 (29.50 / 23.76) 2010-08-19 SELL 25.69 -0.42 (-1.61%) 2 days 27.70% $12,769.83 Indicators Changed
2010-07-12 BUY 23.53 (26.59 / 21.41) 2010-08-09 SELL 26.54 3.01 (12.79%) 19 days 29.79% $12,978.60 Take Profits
2010-06-15 BUY 24.63 (27.83 / 22.41) 2010-06-24 SELL 23.62 -1.01 (-4.10%) 7 days 15.07% $11,506.65 Indicators Changed
2010-06-03 BUY 24.77 (27.99 / 22.54) 2010-06-04 SELL 23.77 -1.00 (-4.04%) 1 day 19.99% $11,998.68 Indicators Changed
2010-05-31 BUY 25.84 (29.20 / 23.51) 2010-06-01 SELL 24.03 -1.81 (-7.00%) 1 day 25.03% $12,503.46 Indicators Changed
2010-05-10 BUY 25.05 (28.31 / 22.80) 2010-05-19 SELL 24.51 -0.54 (-2.16%) 7 days 34.45% $13,445.25 Indicators Changed
2010-04-21 BUY 24.97 (28.22 / 22.72) 2010-05-04 SELL 24.59 -0.38 (-1.52%) 9 days 37.41% $13,741.47 Indicators Changed
2010-02-05 BUY 21.88 (24.72 / 19.91) 2010-03-17 SELL 24.73 2.85 (13.03%) 27 days 39.54% $13,953.83 Take Profits
2009-12-01 BUY 21.96 (24.81 / 19.98) 2010-01-12 SELL 22.07 0.11 (0.50%) 27 days 23.46% $12,345.72 Indicators Changed
2009-09-25 SHORT 23.36 (20.32 / 25.46) 2009-11-23 COVER 21.72 -1.64 (7.02%) 40 days 22.84% $12,284.19 Indicators Changed
2009-09-03 BUY 22.34 (25.24 / 20.33) 2009-09-09 SELL 22.19 -0.15 (-0.67%) 4 days 14.78% $11,478.35 Indicators Changed
2009-08-21 BUY 22.07 (24.94 / 20.08) 2009-08-27 SELL 21.64 -0.43 (-1.95%) 4 days 15.56% $11,555.94 Indicators Changed
2009-07-16 BUY 19.21 (21.71 / 17.48) 2009-07-31 SELL 21.90 2.69 (14.00%) 11 days 17.86% $11,785.56 Take Profits
2009-06-12 BUY 19.01 (21.48 / 17.30) 2009-07-02 SELL 18.72 -0.29 (-1.53%) 14 days 3.38% $10,337.93 Indicators Changed
2009-05-06 BUY 18.68 (21.11 / 17.00) 2009-05-13 SELL 19.07 0.39 (2.09%) 5 days 4.98% $10,498.08 Indicators Changed
2009-04-20 SHORT 16.82 (14.63 / 18.33) 2009-04-30 COVER 18.33 1.51 (-9.00%) 8 days 2.83% $10,283.38 Exit on STOP
2009-03-12 BUY 16.61 (18.77 / 15.12) 2009-04-13 SELL 18.77 2.16 (13.00%) 22 days 13.00% $11,300.42 Take Profits

 

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

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