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Coventry Health Care Inc. (NYSE:CVH)

NYSE:CVH

Stock Performance

Overall Statistics
Total Trades:   27
Winning Trades:   12
Losing Trades:   15
Success Rate %:   44.44%
Biggest % Gain:   30.11%
Biggest % Loss   -9.00%
 
Year Days In % Gain Account
$10,000.00
2009 49 days 54.16% $15,415.98
2010 84 days 33.89% $20,640.04
2011 143 days 3.10% $21,279.64
2012 73 days 15.33% $24,540.79
2013 90 days 9.90% $26,970.46
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2013-03-07 BUY 46.40 (52.43 / 42.22) (Open Position)
2012-10-02 BUY 42.22 (47.71 / 38.42) 2013-02-13 SELL 46.40 4.18 (9.90%) 90 days 169.70% $26,970.46 Indicators Changed
2012-08-03 BUY 32.31 (36.51 / 29.40) 2012-08-20 SELL 42.04 9.73 (30.11%) 11 days 145.41% $24,540.79 Take Profits
2012-06-28 SHORT 32.46 (28.24 / 35.38) 2012-07-27 COVER 34.07 1.61 (-4.96%) 20 days 88.61% $18,860.92 Indicators Changed
2012-04-25 BUY 33.35 (37.69 / 30.35) 2012-04-26 SELL 32.68 -0.67 (-2.01%) 1 day 98.45% $19,845.23 Indicators Changed
2012-03-29 BUY 34.60 (39.10 / 31.49) 2012-04-16 SELL 32.28 -2.32 (-6.71%) 11 days 102.52% $20,252.09 Indicators Changed
2012-03-08 BUY 33.17 (37.48 / 30.18) 2012-03-21 SELL 32.75 -0.42 (-1.27%) 9 days 117.08% $21,707.63 Indicators Changed
2012-02-01 BUY 31.33 (35.40 / 28.51) 2012-03-02 SELL 32.37 1.04 (3.32%) 21 days 119.86% $21,986.02 Indicators Changed
2011-12-23 BUY 31.47 (35.56 / 28.64) 2011-12-28 SELL 30.62 -0.85 (-2.70%) 2 days 112.80% $21,279.64 Indicators Changed
2011-12-20 BUY 31.09 (35.13 / 28.29) 2011-12-21 SELL 30.90 -0.19 (-0.61%) 1 day 118.70% $21,870.36 Indicators Changed
2011-11-30 BUY 31.94 (36.09 / 29.07) 2011-12-14 SELL 30.98 -0.96 (-3.01%) 10 days 120.05% $22,004.84 Indicators Changed
2011-11-18 SHORT 30.08 (26.17 / 32.79) 2011-11-28 COVER 30.20 0.12 (-0.40%) 5 days 126.87% $22,686.72 Indicators Changed
2011-10-24 BUY 32.13 (36.31 / 29.24) 2011-11-16 SELL 30.60 -1.53 (-4.76%) 17 days 127.78% $22,777.59 Indicators Changed
2011-09-07 BUY 33.47 (37.82 / 30.46) 2011-09-20 SELL 31.37 -2.10 (-6.27%) 9 days 139.16% $23,916.47 Indicators Changed
2011-03-03 BUY 32.30 (36.50 / 29.39) 2011-06-21 SELL 36.17 3.87 (11.98%) 76 days 155.18% $25,517.50 Take Profits
2011-02-18 BUY 30.48 (34.44 / 27.74) 2011-02-22 SELL 29.74 -0.74 (-2.43%) 1 day 127.87% $22,787.26 Indicators Changed
2011-01-04 BUY 27.68 (31.28 / 25.19) 2011-02-04 SELL 31.32 3.64 (13.15%) 22 days 133.54% $23,354.26 Take Profits
2010-09-03 BUY 21.39 (24.17 / 19.46) 2010-11-05 SELL 24.87 3.48 (16.27%) 44 days 106.40% $20,640.04 Take Profits
2010-07-09 BUY 18.77 (21.21 / 17.08) 2010-08-04 SELL 21.54 2.77 (14.76%) 18 days 77.52% $17,751.93 Take Profits
2010-04-29 BUY 24.88 (28.11 / 22.64) 2010-04-30 SELL 23.74 -1.14 (-4.58%) 1 day 54.69% $15,469.07 Indicators Changed
2010-02-22 BUY 22.99 (25.98 / 20.92) 2010-03-19 SELL 26.24 3.25 (14.14%) 19 days 62.12% $16,211.89 Take Profits
2010-01-19 BUY 26.71 (30.18 / 24.31) 2010-01-21 SELL 24.61 -2.10 (-7.86%) 2 days 42.04% $14,203.94 Indicators Changed
2009-10-29 BUY 20.91 (23.63 / 19.03) 2009-11-16 SELL 23.63 2.72 (13.01%) 12 days 54.16% $15,415.98 Take Profits
2009-09-16 SHORT 21.99 (19.13 / 23.97) 2009-10-02 COVER 19.00 -2.99 (13.60%) 12 days 36.41% $13,641.48 Take Profits
2009-08-31 SHORT 21.83 (18.99 / 23.79) 2009-09-10 COVER 23.79 1.96 (-9.00%) 7 days 20.09% $12,008.65 Exit on STOP
2009-07-14 BUY 18.73 (21.16 / 17.04) 2009-07-28 SELL 22.59 3.86 (20.61%) 10 days 31.96% $13,196.32 Take Profits
2009-07-02 SHORT 17.91 (15.58 / 19.52) 2009-07-07 COVER 18.55 0.64 (-3.57%) 2 days 9.41% $10,941.44 Indicators Changed
2009-04-28 BUY 15.22 (17.20 / 13.85) 2009-05-06 SELL 17.27 2.05 (13.47%) 6 days 13.47% $11,346.91 Take Profits

 

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

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