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The Goldman Sachs Group Inc. (NYSE:GS)

NYSE:GS

Stock Performance

Overall Statistics
Total Trades:   58
Winning Trades:   25
Losing Trades:   33
Success Rate %:   43.10%
Biggest % Gain:   18.86%
Biggest % Loss   -11.00%
 
Year Days In % Gain Account
$10,000.00
2009 71 days 17.90% $11,789.92
2010 109 days 31.62% $15,517.52
2011 155 days -19.97% $12,418.34
2012 110 days 19.01% $14,778.56
2013 110 days 1.57% $15,010.76
2014 176 days 0.50% $15,085.74
2015 124 days -1.70% $14,829.01
2016 106 days -13.33% $12,852.64
2017 53 days -5.72% $12,118.05
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-06-09 BUY 222.25 (253.37 / 197.80) 2017-06-26 SELL 220.51 -1.74 (-0.78%) 11 days 21.18% $12,118.05 Indicators Changed
2017-05-31 SHORT 211.20 (181.63 / 234.43) 2017-06-08 COVER 218.85 7.65 (-3.62%) 6 days 22.14% $12,213.67 Indicators Changed
2017-04-25 BUY 226.66 (258.39 / 201.73) 2017-05-17 SELL 213.67 -12.99 (-5.73%) 16 days 26.73% $12,672.70 Indicators Changed
2017-02-03 BUY 240.95 (274.68 / 214.45) 2017-03-06 SELL 252.02 11.07 (4.59%) 20 days 34.43% $13,443.13 Indicators Changed
2016-10-05 BUY 166.40 (189.70 / 148.10) 2016-11-09 SELL 192.63 26.23 (15.76%) 25 days 28.53% $12,852.64 Take Profits
2016-08-05 BUY 162.09 (184.78 / 144.26) 2016-08-24 SELL 165.30 3.21 (1.98%) 13 days 11.03% $11,102.53 Indicators Changed
2016-06-24 SHORT 141.86 (122.00 / 157.46) 2016-07-13 COVER 157.46 15.60 (-11.00%) 12 days 8.87% $10,886.92 Exit on STOP
2016-05-25 BUY 161.25 (183.82 / 143.51) 2016-06-03 SELL 155.67 -5.58 (-3.46%) 6 days 22.32% $12,232.50 Indicators Changed
2016-05-18 BUY 159.94 (182.33 / 142.35) 2016-05-19 SELL 154.70 -5.24 (-3.28%) 1 day 26.71% $12,670.97 Indicators Changed
2016-04-13 BUY 159.85 (182.23 / 142.27) 2016-05-03 SELL 163.14 3.29 (2.06%) 14 days 31.00% $13,100.16 Indicators Changed
2016-03-01 BUY 154.65 (176.30 / 137.64) 2016-04-07 SELL 150.41 -4.24 (-2.74%) 26 days 28.36% $12,835.98 Indicators Changed
2016-01-29 BUY 161.56 (184.18 / 143.79) 2016-02-11 SELL 143.79 -17.77 (-11.00%) 9 days 31.98% $13,197.82 Exit on STOP
2015-10-05 BUY 180.70 (206.00 / 160.82) 2015-12-03 SELL 185.20 4.50 (2.49%) 42 days 48.29% $14,829.01 Indicators Changed
2015-07-15 BUY 212.96 (242.77 / 189.53) 2015-07-24 SELL 207.35 -5.61 (-2.63%) 7 days 44.69% $14,468.69 Indicators Changed
2015-06-10 BUY 213.13 (242.97 / 189.69) 2015-07-08 SELL 204.06 -9.07 (-4.26%) 19 days 48.60% $14,860.15 Indicators Changed
2015-04-02 BUY 191.55 (218.37 / 170.48) 2015-04-30 SELL 196.42 4.87 (2.54%) 18 days 55.21% $15,520.65 Indicators Changed
2015-03-16 BUY 191.90 (218.77 / 170.79) 2015-03-25 SELL 187.35 -4.55 (-2.37%) 7 days 51.36% $15,135.84 Indicators Changed
2015-02-04 BUY 178.78 (203.81 / 159.11) 2015-03-06 SELL 186.92 8.14 (4.55%) 21 days 55.03% $15,503.43 Indicators Changed
2014-12-18 BUY 191.61 (218.44 / 170.53) 2015-01-05 SELL 188.34 -3.27 (-1.71%) 10 days 48.28% $14,828.28 Indicators Changed
2014-10-27 BUY 183.91 (209.66 / 163.68) 2014-12-12 SELL 188.82 4.91 (2.67%) 33 days 50.86% $15,085.74 Indicators Changed
2014-10-03 BUY 188.07 (214.40 / 167.38) 2014-10-14 SELL 178.70 -9.37 (-4.98%) 7 days 46.93% $14,693.45 Indicators Changed
2014-09-09 SHORT 177.40 (152.56 / 196.91) 2014-09-10 COVER 179.87 2.47 (-1.39%) 1 day 54.64% $15,463.89 Indicators Changed
2014-08-01 SHORT 170.25 (146.41 / 188.98) 2014-09-08 COVER 180.11 9.86 (-5.79%) 25 days 56.82% $15,682.24 Indicators Changed
2014-04-22 BUY 160.46 (182.92 / 142.81) 2014-06-27 SELL 166.78 6.32 (3.94%) 47 days 66.46% $16,646.31 Indicators Changed
2014-01-21 SHORT 173.20 (148.95 / 192.25) 2014-04-02 COVER 167.27 -5.93 (3.42%) 49 days 60.16% $16,015.51 Indicators Changed
2013-12-17 BUY 170.49 (194.36 / 151.74) 2014-01-13 SELL 175.88 5.39 (3.16%) 14 days 54.85% $15,485.33 Indicators Changed
2013-10-16 BUY 162.25 (184.97 / 144.40) 2013-12-05 SELL 165.56 3.31 (2.04%) 35 days 50.11% $15,010.76 Indicators Changed
2013-09-10 BUY 165.14 (188.26 / 146.97) 2013-09-27 SELL 159.85 -5.29 (-3.20%) 13 days 47.11% $14,710.66 Indicators Changed
2013-08-09 SHORT 162.13 (139.43 / 179.96) 2013-09-09 COVER 159.49 -2.64 (1.63%) 20 days 51.97% $15,197.49 Indicators Changed
2013-06-07 BUY 166.01 (189.25 / 147.75) 2013-06-11 SELL 163.31 -2.70 (-1.63%) 2 days 49.54% $14,953.99 Indicators Changed
2013-04-17 SHORT 140.60 (120.92 / 156.07) 2013-05-15 COVER 156.07 15.47 (-11.00%) 20 days 52.01% $15,201.22 Exit on STOP
2012-12-11 BUY 118.86 (135.50 / 105.79) 2013-01-10 SELL 137.37 18.51 (15.57%) 20 days 70.80% $17,080.02 Take Profits
2012-11-07 SHORT 117.98 (101.46 / 130.96) 2012-11-26 COVER 120.94 2.96 (-2.51%) 12 days 47.79% $14,778.56 Indicators Changed
2012-06-20 BUY 96.55 (110.07 / 85.93) 2012-09-06 SELL 113.54 16.99 (17.60%) 54 days 51.59% $15,158.89 Take Profits
2012-04-12 BUY 120.39 (137.24 / 107.15) 2012-04-13 SELL 115.09 -5.30 (-4.40%) 1 day 28.91% $12,890.53 Indicators Changed
2012-03-01 BUY 121.13 (138.09 / 107.81) 2012-04-10 SELL 114.56 -6.57 (-5.42%) 27 days 34.84% $13,484.15 Indicators Changed
2011-12-23 BUY 93.79 (106.92 / 83.47) 2012-01-19 SELL 107.68 13.89 (14.81%) 16 days 42.57% $14,257.46 Take Profits
2011-11-09 SHORT 99.67 (85.72 / 110.63) 2011-12-22 COVER 94.42 -5.25 (5.27%) 30 days 24.18% $12,418.34 Indicators Changed
2011-10-06 BUY 97.93 (111.64 / 87.16) 2011-10-27 SELL 116.40 18.47 (18.86%) 15 days 17.97% $11,796.95 Take Profits
2011-09-15 BUY 107.97 (123.09 / 96.09) 2011-09-22 SELL 96.09 -11.88 (-11.00%) 5 days -0.75% $9,925.05 Exit on STOP
2011-08-29 BUY 116.07 (132.32 / 103.30) 2011-09-08 SELL 104.79 -11.28 (-9.72%) 7 days 11.52% $11,151.74 Indicators Changed
2011-07-20 BUY 132.75 (151.34 / 118.15) 2011-08-04 SELL 126.23 -6.52 (-4.91%) 11 days 23.52% $12,352.16 Indicators Changed
2011-06-29 BUY 132.53 (151.08 / 117.95) 2011-07-14 SELL 129.89 -2.64 (-1.99%) 10 days 29.90% $12,990.17 Indicators Changed
2011-06-10 BUY 135.92 (154.95 / 120.97) 2011-06-28 SELL 129.26 -6.66 (-4.90%) 12 days 32.54% $13,254.19 Indicators Changed
2011-05-31 BUY 140.73 (160.43 / 125.25) 2011-06-08 SELL 131.59 -9.14 (-6.49%) 6 days 39.37% $13,937.10 Indicators Changed
2011-03-22 BUY 160.79 (183.30 / 143.10) 2011-04-14 SELL 155.79 -5.00 (-3.11%) 17 days 49.05% $14,905.15 Indicators Changed
2011-02-08 BUY 168.55 (192.15 / 150.01) 2011-02-23 SELL 163.09 -5.46 (-3.24%) 10 days 53.84% $15,383.52 Indicators Changed
2010-12-02 BUY 162.50 (185.25 / 144.62) 2011-01-19 SELL 166.49 3.99 (2.46%) 32 days 58.99% $15,898.54 Indicators Changed
2010-08-11 SHORT 149.25 (128.35 / 165.67) 2010-10-21 COVER 159.30 10.05 (-6.73%) 50 days 55.18% $15,517.52 Indicators Changed
2010-07-07 BUY 135.83 (154.85 / 120.89) 2010-08-04 SELL 156.41 20.58 (15.15%) 20 days 66.38% $16,637.86 Take Profits
2010-04-16 SHORT 160.70 (138.20 / 178.38) 2010-05-18 COVER 137.36 -23.34 (14.52%) 22 days 44.49% $14,448.69 Take Profits
2010-01-15 SHORT 165.21 (142.08 / 183.38) 2010-02-10 COVER 153.63 -11.58 (7.01%) 17 days 26.16% $12,616.31 Indicators Changed
2009-11-12 BUY 178.48 (203.47 / 158.85) 2009-11-20 SELL 170.01 -8.47 (-4.75%) 6 days 17.90% $11,789.92 Indicators Changed
2009-10-07 BUY 190.48 (217.15 / 169.53) 2009-10-28 SELL 172.16 -18.32 (-9.62%) 15 days 23.77% $12,377.30 Indicators Changed
2009-09-02 SHORT 158.54 (136.34 / 175.98) 2009-09-09 COVER 170.27 11.73 (-7.40%) 4 days 36.94% $13,694.40 Indicators Changed
2009-06-29 BUY 149.36 (170.27 / 132.93) 2009-08-06 SELL 166.75 17.39 (11.64%) 27 days 47.89% $14,788.58 Take Profits
2009-03-23 BUY 111.93 (127.60 / 99.62) 2009-04-13 SELL 130.15 18.22 (16.28%) 14 days 32.46% $13,246.31 Take Profits
2009-03-11 BUY 92.39 (105.32 / 82.23) 2009-03-18 SELL 105.25 12.86 (13.92%) 5 days 13.92% $11,391.93 Take Profits

 

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

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