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Caterpillar Inc. (NYSE:CAT)

NYSE:CAT

Stock Performance

Overall Statistics
Total Trades:   59
Winning Trades:   31
Losing Trades:   28
Success Rate %:   52.54%
Biggest % Gain:   16.61%
Biggest % Loss   -10.00%
 
Year Days In % Gain Account
$10,000.00
2009 42 days 37.36% $13,735.95
2010 66 days 45.27% $19,954.46
2011 103 days 47.88% $29,508.80
2012 95 days 16.26% $34,306.75
2013 124 days 3.39% $35,468.64
2014 144 days 21.97% $43,260.09
2015 145 days -21.79% $33,832.07
2016 88 days -23.62% $25,840.62
2017 53 days 7.76% $27,846.10
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-05-19 BUY 102.40 (112.64 / 96.26) 2017-06-06 SELL 104.57 2.17 (2.12%) 11 days 178.46% $27,846.10 Indicators Changed
2017-05-15 BUY 102.42 (112.66 / 96.27) 2017-05-17 SELL 100.19 -2.23 (-2.18%) 2 days 172.68% $27,268.25 Indicators Changed
2017-04-04 BUY 94.14 (103.55 / 88.49) 2017-04-25 SELL 104.43 10.29 (10.94%) 14 days 178.75% $27,875.18 Take Profits
2017-02-10 BUY 96.31 (105.94 / 90.53) 2017-03-02 SELL 94.36 -1.95 (-2.02%) 13 days 151.27% $25,127.17 Indicators Changed
2017-01-13 BUY 94.48 (103.93 / 88.81) 2017-02-02 SELL 93.77 -0.71 (-0.75%) 13 days 156.46% $25,646.43 Indicators Changed
2016-12-07 BUY 97.33 (107.06 / 91.49) 2016-12-19 SELL 91.49 -5.84 (-6.00%) 8 days 158.41% $25,840.62 Exit on STOP
2016-11-09 BUY 91.20 (100.32 / 85.73) 2016-12-05 SELL 94.45 3.25 (3.56%) 17 days 174.90% $27,490.02 Indicators Changed
2016-09-21 BUY 83.47 (91.82 / 78.46) 2016-10-28 SELL 83.88 0.41 (0.49%) 27 days 165.44% $26,544.10 Indicators Changed
2016-06-24 SHORT 73.03 (65.73 / 77.41) 2016-07-08 COVER 77.41 4.38 (-6.00%) 9 days 164.14% $26,414.35 Exit on STOP
2016-04-13 BUY 79.13 (87.04 / 74.38) 2016-05-04 SELL 74.38 -4.75 (-6.00%) 15 days 181.00% $28,100.37 Exit on STOP
2016-02-04 BUY 65.96 (72.56 / 62.00) 2016-02-10 SELL 62.00 -3.96 (-6.00%) 4 days 198.94% $29,894.02 Exit on STOP
2015-12-23 BUY 69.89 (76.88 / 65.70) 2016-01-06 SELL 65.70 -4.19 (-6.00%) 8 days 218.02% $31,802.14 Exit on STOP
2015-10-06 BUY 70.82 (77.90 / 66.57) 2015-12-08 SELL 66.57 -4.25 (-6.00%) 44 days 238.32% $33,832.07 Exit on STOP
2015-09-15 BUY 74.58 (82.04 / 70.11) 2015-09-23 SELL 70.20 -4.38 (-5.87%) 6 days 259.92% $35,991.56 Indicators Changed
2015-08-10 BUY 80.16 (88.18 / 75.35) 2015-08-21 SELL 75.35 -4.81 (-6.00%) 9 days 282.37% $38,237.19 Exit on STOP
2015-04-06 BUY 81.49 (89.64 / 76.60) 2015-06-25 SELL 86.72 5.23 (6.42%) 56 days 306.78% $40,677.86 Indicators Changed
2015-02-03 BUY 83.92 (92.31 / 78.88) 2015-03-13 SELL 78.88 -5.04 (-6.00%) 27 days 282.25% $38,224.62 Exit on STOP
2015-01-22 BUY 86.82 (95.50 / 81.61) 2015-01-27 SELL 81.61 -5.21 (-6.00%) 3 days 306.64% $40,664.49 Exit on STOP
2014-10-23 BUY 99.27 (109.20 / 93.31) 2014-12-01 SELL 99.00 -0.27 (-0.27%) 26 days 332.60% $43,260.09 Indicators Changed
2014-07-10 SHORT 109.36 (98.42 / 115.92) 2014-09-29 COVER 99.83 -9.53 (8.71%) 56 days 333.78% $43,378.07 Take Profits
2014-05-20 SHORT 101.56 (91.40 / 107.65) 2014-06-05 COVER 106.96 5.40 (-5.32%) 11 days 299.01% $39,900.97 Indicators Changed
2014-03-21 BUY 97.33 (107.06 / 91.49) 2014-04-24 SELL 105.28 7.95 (8.17%) 23 days 321.42% $42,141.66 Take Profits
2013-12-06 BUY 85.50 (94.05 / 80.37) 2014-01-31 SELL 93.91 8.41 (9.84%) 28 days 289.57% $38,957.42 Take Profits
2013-11-26 BUY 84.36 (92.80 / 79.30) 2013-12-02 SELL 84.25 -0.11 (-0.13%) 3 days 254.69% $35,468.64 Indicators Changed
2013-10-10 BUY 84.73 (93.20 / 79.65) 2013-10-23 SELL 83.76 -0.97 (-1.14%) 9 days 255.15% $35,514.95 Indicators Changed
2013-09-09 BUY 85.59 (94.15 / 80.45) 2013-10-08 SELL 82.85 -2.74 (-3.20%) 21 days 259.26% $35,926.23 Indicators Changed
2013-08-09 BUY 84.51 (92.96 / 79.44) 2013-08-21 SELL 82.94 -1.57 (-1.86%) 8 days 271.14% $37,114.38 Indicators Changed
2013-07-08 BUY 83.20 (91.52 / 78.21) 2013-07-24 SELL 83.44 0.24 (0.29%) 12 days 278.17% $37,816.93 Indicators Changed
2013-04-24 BUY 83.78 (92.16 / 78.75) 2013-06-05 SELL 84.42 0.64 (0.76%) 29 days 277.08% $37,708.16 Indicators Changed
2013-01-25 SHORT 95.58 (86.02 / 101.31) 2013-03-27 COVER 86.90 -8.68 (9.08%) 42 days 274.22% $37,422.29 Take Profits
2012-11-23 BUY 84.16 (92.58 / 79.11) 2013-01-02 SELL 93.50 9.34 (11.10%) 26 days 243.07% $34,306.75 Take Profits
2012-11-01 BUY 87.65 (96.42 / 82.39) 2012-11-07 SELL 85.02 -2.63 (-3.00%) 4 days 208.80% $30,879.75 Indicators Changed
2012-09-25 SHORT 87.01 (78.31 / 92.23) 2012-10-26 COVER 84.25 -2.76 (3.17%) 23 days 218.35% $31,834.98 Indicators Changed
2012-07-17 BUY 81.91 (90.10 / 77.00) 2012-08-20 SELL 90.44 8.53 (10.41%) 24 days 208.56% $30,856.20 Take Profits
2012-05-29 BUY 92.52 (101.77 / 86.97) 2012-05-31 SELL 86.97 -5.55 (-6.00%) 2 days 179.46% $27,945.95 Exit on STOP
2012-04-17 BUY 108.41 (119.25 / 101.91) 2012-04-25 SELL 103.44 -4.97 (-4.58%) 6 days 197.30% $29,729.73 Indicators Changed
2012-03-12 SHORT 108.94 (98.05 / 115.48) 2012-03-13 COVER 113.30 4.36 (-4.00%) 1 day 211.58% $31,158.16 Indicators Changed
2012-01-03 BUY 93.98 (103.38 / 88.34) 2012-01-17 SELL 103.37 9.39 (9.99%) 9 days 224.57% $32,457.17 Take Profits
2011-11-30 BUY 97.88 (107.67 / 92.01) 2011-12-13 SELL 92.01 -5.87 (-6.00%) 9 days 195.09% $29,508.80 Exit on STOP
2011-10-06 BUY 77.09 (84.80 / 72.46) 2011-10-17 SELL 81.52 4.43 (5.75%) 7 days 213.92% $31,392.34 Take Profits
2011-07-22 SHORT 105.15 (94.64 / 111.46) 2011-08-03 COVER 96.28 -8.87 (8.44%) 8 days 196.86% $29,686.40 Take Profits
2011-06-21 BUY 101.39 (111.53 / 95.31) 2011-07-07 SELL 111.63 10.24 (10.10%) 11 days 173.77% $27,376.99 Take Profits
2011-05-11 SHORT 109.98 (98.98 / 116.58) 2011-06-08 COVER 98.04 -11.94 (10.86%) 19 days 148.66% $24,865.66 Take Profits
2011-03-21 BUY 107.59 (118.35 / 101.13) 2011-05-05 SELL 109.39 1.80 (1.67%) 32 days 124.30% $22,430.49 Indicators Changed
2011-01-26 BUY 95.75 (105.33 / 90.00) 2011-02-18 SELL 105.86 10.11 (10.56%) 17 days 120.61% $22,061.40 Take Profits
2010-11-24 BUY 84.69 (93.16 / 79.61) 2010-12-15 SELL 93.12 8.43 (9.95%) 14 days 99.54% $19,954.46 Take Profits
2010-11-04 BUY 83.18 (91.50 / 78.19) 2010-11-23 SELL 82.63 -0.55 (-0.66%) 13 days 81.48% $18,148.01 Indicators Changed
2010-09-01 BUY 68.16 (74.98 / 64.07) 2010-09-21 SELL 76.39 8.23 (12.07%) 13 days 82.69% $18,268.81 Take Profits
2010-06-30 SHORT 60.07 (54.06 / 63.67) 2010-07-09 COVER 63.67 3.60 (-6.00%) 6 days 63.01% $16,300.59 Exit on STOP
2010-06-14 BUY 61.00 (67.10 / 57.34) 2010-06-21 SELL 66.07 5.07 (8.31%) 5 days 73.41% $17,341.05 Take Profits
2010-01-21 SHORT 56.85 (51.16 / 60.26) 2010-01-27 COVER 53.44 -3.41 (6.00%) 4 days 60.10% $16,010.36 Take Profits
2009-12-23 BUY 58.32 (64.15 / 54.82) 2010-01-11 SELL 64.13 5.81 (9.96%) 11 days 51.04% $15,104.36 Take Profits
2009-11-25 BUY 59.04 (64.94 / 55.50) 2009-12-09 SELL 55.50 -3.54 (-6.00%) 9 days 37.36% $13,735.95 Exit on STOP
2009-11-04 BUY 56.22 (61.84 / 52.85) 2009-11-24 SELL 58.00 1.78 (3.17%) 14 days 46.13% $14,612.71 Indicators Changed
2009-10-28 SHORT 54.43 (48.99 / 57.70) 2009-10-30 COVER 57.70 3.27 (-6.00%) 2 days 41.64% $14,164.25 Exit on STOP
2009-10-14 BUY 54.51 (59.96 / 51.24) 2009-10-20 SELL 59.61 5.10 (9.36%) 4 days 50.68% $15,068.35 Take Profits
2009-07-15 BUY 33.84 (37.22 / 31.81) 2009-07-21 SELL 39.46 5.62 (16.61%) 4 days 37.79% $13,779.16 Take Profits
2009-06-15 SHORT 36.12 (32.51 / 38.29) 2009-06-22 COVER 32.36 -3.76 (10.41%) 5 days 18.17% $11,816.70 Take Profits
2009-03-18 BUY 27.47 (30.22 / 25.82) 2009-03-24 SELL 29.40 1.93 (7.03%) 4 days 7.03% $10,702.58 Take Profits

 

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

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