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The Home Depot Inc. (NYSE:HD)

NYSE:HD

Stock Performance

Overall Statistics
Total Trades:   71
Winning Trades:   20
Losing Trades:   51
Success Rate %:   28.17%
Biggest % Gain:   16.72%
Biggest % Loss   -5.73%
 
Year Days In % Gain Account
$10,000.00
2009 54 days 15.30% $11,529.64
2010 172 days 30.73% $15,073.10
2011 144 days 29.64% $19,540.66
2012 104 days 4.24% $20,369.00
2013 159 days 2.93% $20,965.34
2014 101 days -10.86% $18,688.08
2015 169 days 0.03% $18,693.63
2016 93 days -5.46% $17,672.58
2017 82 days 7.66% $19,026.39
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-06-14 BUY 156.78 (178.73 / 152.08) 2017-06-23 SELL 152.08 -4.70 (-3.00%) 7 days 90.26% $19,026.39 Exit on STOP
2017-04-12 SHORT 146.48 (125.97 / 150.87) 2017-04-21 COVER 150.00 3.52 (-2.40%) 6 days 96.15% $19,614.84 Indicators Changed
2016-11-17 BUY 128.98 (147.04 / 125.11) 2017-03-01 SELL 146.68 17.70 (13.72%) 69 days 100.98% $20,097.80 Take Profits
2016-11-10 BUY 129.03 (147.09 / 125.16) 2016-11-15 SELL 125.16 -3.87 (-3.00%) 3 days 76.73% $17,672.58 Exit on STOP
2016-10-20 BUY 126.23 (143.90 / 122.44) 2016-10-26 SELL 122.44 -3.79 (-3.00%) 4 days 82.19% $18,219.15 Exit on STOP
2016-09-28 BUY 128.23 (146.18 / 124.38) 2016-10-18 SELL 125.74 -2.49 (-1.94%) 14 days 87.83% $18,782.63 Indicators Changed
2016-02-17 BUY 121.21 (138.18 / 117.57) 2016-05-17 SELL 132.00 10.79 (8.90%) 63 days 91.55% $19,154.58 Indicators Changed
2016-02-05 SHORT 116.43 (100.13 / 119.92) 2016-02-16 COVER 119.92 3.49 (-3.00%) 6 days 75.89% $17,588.84 Exit on STOP
2016-01-29 BUY 125.76 (143.37 / 121.99) 2016-02-03 SELL 121.99 -3.77 (-3.00%) 3 days 81.33% $18,132.82 Exit on STOP
2015-10-01 BUY 117.03 (133.41 / 113.52) 2015-11-24 SELL 133.60 16.57 (14.16%) 38 days 86.94% $18,693.63 Take Profits
2015-09-21 BUY 116.58 (132.90 / 113.08) 2015-09-28 SELL 114.10 -2.48 (-2.13%) 5 days 63.75% $16,375.12 Indicators Changed
2015-08-26 BUY 115.93 (132.16 / 112.45) 2015-09-18 SELL 115.12 -0.81 (-0.70%) 16 days 67.31% $16,731.04 Indicators Changed
2015-07-28 BUY 114.84 (130.92 / 111.39) 2015-08-24 SELL 111.39 -3.45 (-3.00%) 19 days 68.49% $16,848.76 Exit on STOP
2015-07-10 BUY 113.10 (128.93 / 109.71) 2015-07-27 SELL 113.07 -0.03 (-0.03%) 11 days 73.70% $17,369.86 Indicators Changed
2015-07-06 SHORT 111.32 (95.74 / 114.66) 2015-07-07 COVER 112.40 1.08 (-0.97%) 1 day 73.74% $17,374.46 Indicators Changed
2015-06-29 SHORT 110.54 (95.06 / 113.86) 2015-07-01 COVER 112.07 1.53 (-1.38%) 2 days 75.45% $17,544.68 Indicators Changed
2015-06-05 SHORT 110.37 (94.92 / 113.68) 2015-06-18 COVER 111.85 1.48 (-1.34%) 9 days 77.91% $17,790.92 Indicators Changed
2015-04-14 SHORT 114.05 (98.08 / 117.47) 2015-06-03 COVER 113.16 -0.89 (0.78%) 35 days 80.33% $18,032.73 Indicators Changed
2015-03-06 SHORT 114.45 (98.43 / 117.88) 2015-03-20 COVER 117.88 3.43 (-3.00%) 10 days 78.93% $17,893.10 Exit on STOP
2015-02-02 SHORT 104.43 (89.81 / 107.56) 2015-02-03 COVER 107.24 2.81 (-2.69%) 1 day 84.46% $18,446.50 Indicators Changed
2015-01-22 BUY 106.07 (120.92 / 102.89) 2015-01-30 SELL 104.42 -1.65 (-1.56%) 6 days 89.57% $18,956.58 Indicators Changed
2014-12-18 BUY 100.67 (114.76 / 97.65) 2015-01-13 SELL 103.73 3.06 (3.04%) 16 days 92.56% $19,256.13 Indicators Changed
2014-10-21 BUY 94.20 (107.39 / 91.37) 2014-11-18 SELL 91.37 -2.83 (-3.00%) 20 days 86.88% $18,688.08 Exit on STOP
2014-07-09 SHORT 80.73 (69.43 / 83.15) 2014-08-08 COVER 82.43 1.70 (-2.11%) 22 days 92.66% $19,266.06 Indicators Changed
2014-06-18 BUY 80.71 (92.01 / 78.29) 2014-07-07 SELL 81.42 0.71 (0.88%) 12 days 96.80% $19,680.49 Indicators Changed
2014-06-13 SHORT 78.07 (67.14 / 80.41) 2014-06-16 COVER 78.90 0.83 (-1.06%) 1 day 95.09% $19,508.87 Indicators Changed
2014-05-22 BUY 78.78 (89.81 / 76.42) 2014-06-12 SELL 78.43 -0.35 (-0.44%) 14 days 97.19% $19,718.51 Indicators Changed
2014-04-22 BUY 79.67 (90.82 / 77.28) 2014-05-07 SELL 77.28 -2.39 (-3.00%) 11 days 98.07% $19,806.50 Exit on STOP
2014-02-25 BUY 80.98 (92.32 / 78.55) 2014-03-26 SELL 78.87 -2.11 (-2.61%) 21 days 104.19% $20,419.07 Indicators Changed
2013-11-08 SHORT 75.48 (64.91 / 77.74) 2013-11-14 COVER 77.74 2.26 (-3.00%) 4 days 109.65% $20,965.34 Exit on STOP
2013-10-07 SHORT 75.13 (64.61 / 77.38) 2013-10-24 COVER 76.78 1.65 (-2.20%) 13 days 116.14% $21,613.75 Indicators Changed
2013-06-28 BUY 77.47 (88.32 / 75.15) 2013-08-15 SELL 75.15 -2.32 (-3.00%) 33 days 120.99% $22,099.09 Exit on STOP
2013-05-07 BUY 75.07 (85.58 / 72.82) 2013-06-20 SELL 73.87 -1.20 (-1.60%) 31 days 127.83% $22,782.57 Indicators Changed
2013-04-08 BUY 71.22 (81.19 / 69.08) 2013-04-26 SELL 73.35 2.13 (2.99%) 14 days 131.53% $23,152.67 Indicators Changed
2013-01-02 BUY 63.48 (72.37 / 61.58) 2013-04-05 SELL 70.06 6.58 (10.37%) 64 days 124.80% $22,480.34 Indicators Changed
2012-12-17 BUY 63.31 (72.17 / 61.41) 2012-12-20 SELL 61.41 -1.90 (-3.00%) 3 days 103.69% $20,369.00 Exit on STOP
2012-11-19 BUY 63.33 (72.20 / 61.43) 2012-12-04 SELL 64.24 0.91 (1.44%) 10 days 109.99% $20,998.97 Indicators Changed
2012-11-13 BUY 63.38 (72.25 / 61.48) 2012-11-14 SELL 61.48 -1.90 (-3.00%) 1 day 107.02% $20,701.50 Exit on STOP
2012-08-03 BUY 52.29 (59.61 / 50.72) 2012-09-14 SELL 59.46 7.17 (13.71%) 29 days 113.42% $21,341.76 Take Profits
2012-07-26 BUY 52.91 (60.32 / 51.32) 2012-08-02 SELL 51.32 -1.59 (-3.00%) 5 days 87.68% $18,768.26 Exit on STOP
2012-06-29 BUY 52.99 (60.41 / 51.40) 2012-07-03 SELL 51.40 -1.59 (-3.00%) 2 days 93.49% $19,348.72 Exit on STOP
2012-06-01 SHORT 47.96 (41.25 / 49.40) 2012-06-06 COVER 49.40 1.44 (-3.00%) 3 days 99.47% $19,947.13 Exit on STOP
2012-05-02 BUY 52.71 (60.09 / 51.13) 2012-05-08 SELL 51.13 -1.58 (-3.00%) 4 days 105.64% $20,564.05 Exit on STOP
2012-03-05 SHORT 47.39 (40.76 / 48.81) 2012-03-13 COVER 48.81 1.42 (-3.00%) 6 days 112.00% $21,200.05 Exit on STOP
2011-12-20 BUY 41.95 (47.82 / 40.69) 2012-02-21 SELL 46.92 4.97 (11.85%) 41 days 118.56% $21,855.73 Take Profits
2011-10-07 BUY 33.92 (38.67 / 32.90) 2011-11-15 SELL 38.07 4.15 (12.23%) 27 days 95.41% $19,540.66 Take Profits
2011-09-14 BUY 33.54 (38.24 / 32.53) 2011-10-03 SELL 32.53 -1.01 (-3.00%) 13 days 74.11% $17,410.54 Exit on STOP
2011-07-27 SHORT 35.63 (30.64 / 36.70) 2011-08-05 COVER 30.74 -4.89 (13.72%) 7 days 79.49% $17,949.01 Take Profits
2011-07-18 SHORT 35.69 (30.69 / 36.76) 2011-07-21 COVER 36.76 1.07 (-3.00%) 3 days 57.83% $15,782.90 Exit on STOP
2011-05-17 BUY 37.40 (42.64 / 36.28) 2011-05-26 SELL 36.28 -1.12 (-3.00%) 7 days 62.71% $16,271.03 Exit on STOP
2011-05-10 BUY 37.27 (42.49 / 36.15) 2011-05-11 SELL 37.23 -0.04 (-0.11%) 1 day 67.74% $16,774.26 Indicators Changed
2011-03-29 BUY 37.70 (42.98 / 36.57) 2011-05-05 SELL 37.01 -0.69 (-1.83%) 26 days 67.92% $16,792.28 Indicators Changed
2011-02-23 SHORT 37.30 (32.08 / 38.42) 2011-03-25 COVER 37.42 0.12 (-0.32%) 22 days 71.05% $17,105.35 Indicators Changed
2010-12-02 BUY 33.36 (38.03 / 32.36) 2011-01-27 SELL 37.98 4.62 (13.85%) 38 days 71.61% $17,160.56 Take Profits
2010-11-17 SHORT 30.83 (26.51 / 31.75) 2010-12-01 COVER 31.61 0.78 (-2.53%) 9 days 50.73% $15,073.10 Indicators Changed
2010-09-01 BUY 28.67 (32.68 / 27.81) 2010-11-16 SELL 31.71 3.04 (10.60%) 53 days 54.64% $15,464.35 Take Profits
2010-08-27 BUY 28.74 (32.76 / 27.88) 2010-08-31 SELL 27.88 -0.86 (-3.00%) 2 days 39.82% $13,981.80 Exit on STOP
2010-08-18 BUY 28.86 (32.90 / 27.99) 2010-08-19 SELL 27.99 -0.87 (-3.00%) 1 day 44.14% $14,414.22 Exit on STOP
2010-08-02 BUY 29.12 (33.20 / 28.25) 2010-08-06 SELL 28.25 -0.87 (-3.00%) 4 days 48.60% $14,860.02 Exit on STOP
2010-05-19 SHORT 34.38 (29.57 / 35.41) 2010-06-29 COVER 28.63 -5.75 (16.72%) 28 days 53.20% $15,319.61 Take Profits
2010-02-08 BUY 28.59 (32.59 / 27.73) 2010-03-12 SELL 32.45 3.86 (13.50%) 23 days 31.25% $13,124.55 Take Profits
2010-02-02 BUY 29.03 (33.09 / 28.16) 2010-02-04 SELL 28.16 -0.87 (-3.00%) 2 days 15.63% $11,563.36 Exit on STOP
2009-11-09 BUY 26.81 (30.56 / 26.01) 2010-01-22 SELL 27.72 0.91 (3.39%) 50 days 19.21% $11,920.99 Indicators Changed
2009-10-13 BUY 27.53 (31.38 / 26.70) 2009-10-21 SELL 26.70 -0.83 (-3.00%) 6 days 15.30% $11,529.64 Exit on STOP
2009-08-21 BUY 27.50 (31.35 / 26.68) 2009-09-01 SELL 26.68 -0.82 (-3.00%) 7 days 18.86% $11,886.23 Exit on STOP
2009-07-14 BUY 23.68 (27.00 / 22.97) 2009-08-07 SELL 27.26 3.58 (15.12%) 18 days 22.54% $12,253.84 Take Profits
2009-07-02 SHORT 22.81 (19.62 / 23.49) 2009-07-13 COVER 23.11 0.30 (-1.32%) 6 days 6.45% $10,644.57 Indicators Changed
2009-06-15 SHORT 23.85 (20.51 / 24.57) 2009-06-29 COVER 23.87 0.02 (-0.08%) 10 days 7.86% $10,786.44 Indicators Changed
2009-05-18 BUY 26.02 (29.66 / 25.24) 2009-05-19 SELL 25.24 -0.78 (-3.00%) 1 day 7.95% $10,795.49 Exit on STOP
2009-03-11 BUY 19.68 (22.44 / 19.09) 2009-03-18 SELL 22.58 2.90 (14.74%) 5 days 11.29% $11,129.37 Take Profits
2009-02-27 BUY 20.89 (23.81 / 20.26) 2009-03-02 SELL 20.26 -0.63 (-3.00%) 1 day -3.00% $9,700.00 Exit on STOP

 

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

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