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Forest Laboratories Inc. (NYSE:FRX)

NYSE:FRX

Stock Performance

Overall Statistics
Total Trades:   36
Winning Trades:   19
Losing Trades:   17
Success Rate %:   52.78%
Biggest % Gain:   22.51%
Biggest % Loss   -6.00%
 
Year Days In % Gain Account
$10,000.00
2009 93 days 24.73% $12,472.94
2010 83 days 20.61% $15,043.75
2011 91 days -4.60% $14,351.83
2012 119 days 20.21% $17,252.79
2013 109 days 10.61% $19,083.25
2014 61 days 31.63% $25,119.62
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2014-10-02 SHORT 0.00 (0.00 / 0.00) (Open Position)
2014-04-30 BUY 91.91 (99.26 / 86.40) 2014-06-23 SELL 98.75 6.84 (7.44%) 37 days 151.20% $25,119.62 Take Profits
2013-12-02 BUY 56.32 (60.83 / 52.94) 2014-01-10 SELL 69.00 12.68 (22.51%) 24 days 133.80% $23,379.69 Take Profits
2013-10-16 BUY 44.15 (47.68 / 41.50) 2013-10-25 SELL 47.34 3.19 (7.23%) 7 days 90.83% $19,083.25 Take Profits
2013-09-05 BUY 43.34 (46.81 / 40.74) 2013-10-07 SELL 42.87 -0.47 (-1.08%) 22 days 77.97% $17,797.32 Indicators Changed
2013-04-26 BUY 37.03 (39.99 / 34.81) 2013-05-28 SELL 40.41 3.38 (9.13%) 21 days 79.92% $17,992.44 Take Profits
2013-02-20 BUY 36.41 (39.32 / 34.23) 2013-04-15 SELL 36.11 -0.30 (-0.82%) 37 days 64.88% $16,487.51 Indicators Changed
2013-01-04 BUY 37.07 (40.04 / 34.85) 2013-02-06 SELL 35.72 -1.35 (-3.64%) 22 days 66.24% $16,624.48 Indicators Changed
2012-08-13 BUY 33.95 (36.67 / 31.91) 2012-09-24 SELL 36.49 2.54 (7.48%) 29 days 72.53% $17,252.79 Take Profits
2012-07-23 SHORT 34.28 (31.54 / 36.34) 2012-08-01 COVER 32.97 -1.31 (3.82%) 7 days 60.52% $16,051.86 Take Profits
2012-06-29 BUY 34.99 (37.79 / 32.89) 2012-07-20 SELL 34.90 -0.09 (-0.26%) 14 days 54.61% $15,461.02 Indicators Changed
2012-05-31 BUY 35.00 (37.80 / 32.90) 2012-06-21 SELL 33.84 -1.16 (-3.31%) 15 days 55.01% $15,500.89 Indicators Changed
2012-04-27 BUY 34.92 (37.71 / 32.82) 2012-05-18 SELL 33.20 -1.72 (-4.93%) 15 days 60.32% $16,032.24 Indicators Changed
2012-02-23 BUY 32.21 (34.79 / 30.28) 2012-03-26 SELL 34.79 2.58 (8.01%) 22 days 68.63% $16,862.83 Take Profits
2011-12-20 BUY 29.49 (31.85 / 27.72) 2012-01-17 SELL 32.08 2.59 (8.78%) 17 days 56.12% $15,612.29 Take Profits
2011-11-30 BUY 29.96 (32.36 / 28.16) 2011-12-14 SELL 28.55 -1.41 (-4.71%) 10 days 43.52% $14,351.83 Indicators Changed
2011-10-06 BUY 31.88 (34.43 / 29.97) 2011-11-04 SELL 30.49 -1.39 (-4.36%) 21 days 50.61% $15,060.62 Indicators Changed
2011-06-03 BUY 36.90 (39.85 / 34.69) 2011-06-21 SELL 40.15 3.25 (8.81%) 12 days 57.47% $15,747.21 Take Profits
2011-05-02 BUY 34.74 (37.52 / 32.66) 2011-05-11 SELL 33.62 -1.12 (-3.22%) 7 days 44.73% $14,472.53 Indicators Changed
2011-03-30 BUY 32.48 (35.08 / 30.53) 2011-04-21 SELL 32.55 0.07 (0.22%) 16 days 49.55% $14,954.66 Indicators Changed
2011-01-18 BUY 32.26 (34.84 / 30.32) 2011-02-23 SELL 32.00 -0.26 (-0.81%) 25 days 49.23% $14,922.50 Indicators Changed
2010-12-10 BUY 32.68 (35.29 / 30.72) 2010-12-22 SELL 32.01 -0.67 (-2.05%) 8 days 50.44% $15,043.75 Indicators Changed
2010-11-18 BUY 32.77 (35.39 / 30.80) 2010-11-23 SELL 31.98 -0.79 (-2.41%) 3 days 53.59% $15,358.63 Indicators Changed
2010-08-17 BUY 28.04 (30.28 / 26.36) 2010-09-14 SELL 30.65 2.61 (9.31%) 19 days 57.38% $15,738.03 Take Profits
2010-07-22 BUY 28.41 (30.68 / 26.71) 2010-08-11 SELL 27.93 -0.48 (-1.69%) 14 days 43.98% $14,397.86 Indicators Changed
2010-06-11 BUY 25.86 (27.93 / 24.31) 2010-06-28 SELL 27.97 2.11 (8.16%) 11 days 46.45% $14,645.30 Take Profits
2010-05-18 BUY 27.67 (29.88 / 26.01) 2010-05-20 SELL 26.01 -1.66 (-6.00%) 2 days 35.40% $13,540.49 Exit on STOP
2010-03-31 SHORT 31.36 (28.85 / 33.24) 2010-04-08 COVER 27.99 -3.37 (10.75%) 5 days 44.05% $14,404.77 Take Profits
2010-02-24 BUY 29.64 (32.01 / 27.86) 2010-03-23 SELL 32.07 2.43 (8.20%) 19 days 30.07% $13,007.02 Take Profits
2010-01-19 BUY 31.77 (34.31 / 29.86) 2010-01-21 SELL 30.62 -1.15 (-3.62%) 2 days 20.21% $12,021.45 Indicators Changed
2009-11-16 BUY 28.97 (31.29 / 27.23) 2009-12-02 SELL 31.56 2.59 (8.94%) 11 days 24.73% $12,472.94 Take Profits
2009-10-20 SHORT 28.96 (26.64 / 30.70) 2009-11-09 COVER 28.95 -0.01 (0.03%) 14 days 14.49% $11,449.34 Indicators Changed
2009-08-12 BUY 27.50 (29.70 / 25.85) 2009-09-02 SELL 28.23 0.73 (2.65%) 15 days 14.45% $11,445.39 Indicators Changed
2009-06-08 SHORT 23.40 (21.53 / 24.80) 2009-06-25 COVER 24.80 1.40 (-6.00%) 13 days 11.49% $11,149.42 Exit on STOP
2009-04-29 BUY 21.80 (23.54 / 20.49) 2009-05-12 SELL 23.47 1.67 (7.66%) 9 days 18.61% $11,861.09 Take Profits
2009-03-23 BUY 22.26 (24.04 / 20.92) 2009-04-28 SELL 21.42 -0.84 (-3.77%) 25 days 10.17% $11,017.12 Indicators Changed
2009-02-18 SHORT 24.98 (22.98 / 26.48) 2009-02-26 COVER 21.36 -3.62 (14.49%) 6 days 14.49% $11,449.16 Take Profits

 

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

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