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Illinois Tool Works Inc. (NYSE:ITW)

NYSE:ITW

Stock Performance

Overall Statistics
Total Trades:   64
Winning Trades:   32
Losing Trades:   32
Success Rate %:   50.00%
Biggest % Gain:   8.20%
Biggest % Loss   -7.00%
 
Year Days In % Gain Account
$10,000.00
2009 54 days 39.22% $13,921.96
2010 105 days 5.64% $14,707.69
2011 65 days 4.46% $15,364.10
2012 83 days 10.58% $16,988.99
2013 119 days 1.43% $17,231.66
2014 108 days 3.53% $17,840.22
2015 147 days 10.53% $19,719.65
2016 102 days 8.33% $21,363.09
2017 25 days 0.28% $21,423.78
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-04-20 BUY 134.59 (142.67 / 125.17) 2017-04-24 SELL 139.77 5.18 (3.85%) 2 days 114.24% $21,423.78 Take Profits
2016-12-28 SHORT 122.65 (115.29 / 131.24) 2017-02-01 COVER 126.86 4.21 (-3.43%) 23 days 106.30% $20,629.80 Indicators Changed
2016-09-09 SHORT 115.79 (108.84 / 123.90) 2016-11-11 COVER 123.90 8.11 (-7.00%) 44 days 113.63% $21,363.09 Exit on STOP
2016-07-07 BUY 105.92 (112.28 / 98.51) 2016-07-20 SELL 114.22 8.30 (7.84%) 9 days 129.71% $22,971.07 Take Profits
2016-05-24 BUY 104.91 (111.20 / 97.57) 2016-06-27 SELL 98.69 -6.22 (-5.93%) 23 days 113.02% $21,301.84 Indicators Changed
2016-01-27 BUY 86.18 (91.35 / 80.15) 2016-02-04 SELL 91.46 5.28 (6.13%) 6 days 126.44% $22,644.40 Take Profits
2015-12-08 SHORT 92.29 (86.75 / 98.75) 2016-01-07 COVER 84.72 -7.57 (8.20%) 20 days 113.37% $21,337.13 Take Profits
2015-10-05 BUY 85.61 (90.75 / 79.62) 2015-10-26 SELL 90.73 5.12 (5.98%) 15 days 97.20% $19,719.65 Take Profits
2015-09-09 BUY 83.55 (88.56 / 77.70) 2015-09-29 SELL 81.36 -2.19 (-2.62%) 14 days 86.07% $18,606.84 Indicators Changed
2015-07-21 SHORT 92.16 (86.63 / 98.61) 2015-08-21 COVER 85.27 -6.89 (7.48%) 22 days 91.08% $19,107.69 Take Profits
2015-06-22 BUY 93.78 (99.41 / 87.22) 2015-06-29 SELL 91.45 -2.33 (-2.48%) 5 days 77.79% $17,778.55 Indicators Changed
2015-05-08 BUY 95.92 (101.68 / 89.21) 2015-05-29 SELL 93.83 -2.09 (-2.18%) 14 days 82.32% $18,231.51 Indicators Changed
2015-03-04 SHORT 98.20 (92.31 / 105.07) 2015-05-01 COVER 95.05 -3.15 (3.21%) 41 days 86.38% $18,637.61 Indicators Changed
2015-01-29 BUY 93.75 (99.38 / 87.19) 2015-02-20 SELL 99.49 5.74 (6.12%) 15 days 80.58% $18,058.34 Take Profits
2014-12-03 BUY 96.81 (102.62 / 90.03) 2015-01-05 SELL 92.34 -4.47 (-4.62%) 21 days 70.16% $17,016.48 Indicators Changed
2014-09-22 SHORT 87.78 (82.51 / 93.92) 2014-10-07 COVER 81.72 -6.06 (6.90%) 11 days 78.40% $17,840.22 Take Profits
2014-05-23 BUY 86.40 (91.58 / 80.35) 2014-07-09 SELL 86.74 0.34 (0.39%) 31 days 66.88% $16,688.13 Indicators Changed
2014-04-16 BUY 83.35 (88.35 / 77.52) 2014-04-25 SELL 84.47 1.12 (1.34%) 6 days 66.23% $16,622.72 Indicators Changed
2014-04-01 BUY 82.20 (87.13 / 76.45) 2014-04-11 SELL 81.27 -0.93 (-1.13%) 8 days 64.02% $16,402.31 Indicators Changed
2014-03-17 BUY 81.78 (86.69 / 76.06) 2014-03-27 SELL 79.84 -1.94 (-2.37%) 8 days 65.90% $16,590.01 Indicators Changed
2014-02-18 BUY 79.92 (84.72 / 74.33) 2014-03-14 SELL 80.29 0.37 (0.46%) 17 days 69.93% $16,993.13 Indicators Changed
2013-12-06 BUY 80.49 (85.32 / 74.86) 2014-01-28 SELL 79.01 -1.48 (-1.84%) 27 days 69.15% $16,914.82 Indicators Changed
2013-10-18 BUY 77.42 (82.07 / 72.00) 2013-11-07 SELL 78.36 0.94 (1.21%) 14 days 72.32% $17,231.66 Indicators Changed
2013-09-09 BUY 73.56 (77.97 / 68.41) 2013-09-24 SELL 78.00 4.44 (6.04%) 11 days 70.25% $17,024.95 Take Profits
2013-07-05 BUY 69.97 (74.17 / 65.07) 2013-08-02 SELL 74.25 4.28 (6.12%) 20 days 60.56% $16,055.84 Take Profits
2013-04-24 BUY 64.20 (68.05 / 59.71) 2013-05-09 SELL 68.15 3.95 (6.15%) 11 days 51.30% $15,130.33 Take Profits
2013-04-16 BUY 62.76 (66.53 / 58.37) 2013-04-17 SELL 61.04 -1.72 (-2.74%) 1 day 42.53% $14,253.37 Indicators Changed
2013-04-08 BUY 61.90 (65.61 / 57.57) 2013-04-15 SELL 61.53 -0.37 (-0.60%) 5 days 46.55% $14,655.01 Indicators Changed
2013-03-18 BUY 62.32 (66.06 / 57.96) 2013-03-25 SELL 61.44 -0.88 (-1.41%) 5 days 47.43% $14,743.13 Indicators Changed
2013-03-06 BUY 62.61 (66.37 / 58.23) 2013-03-12 SELL 61.26 -1.35 (-2.16%) 4 days 49.54% $14,954.30 Indicators Changed
2013-02-14 BUY 63.70 (67.52 / 59.24) 2013-02-21 SELL 61.62 -2.08 (-3.27%) 4 days 52.84% $15,283.85 Indicators Changed
2012-11-14 SHORT 59.55 (55.98 / 63.72) 2013-01-18 COVER 63.72 4.17 (-7.00%) 44 days 58.00% $15,799.76 Exit on STOP
2012-10-09 SHORT 59.07 (55.53 / 63.20) 2012-10-18 COVER 60.75 1.68 (-2.84%) 7 days 69.89% $16,988.99 Indicators Changed
2012-07-18 BUY 52.74 (55.90 / 49.05) 2012-08-06 SELL 55.57 2.83 (5.37%) 13 days 74.86% $17,486.31 Take Profits
2012-06-21 SHORT 53.19 (50.00 / 56.91) 2012-07-12 COVER 50.04 -3.15 (5.92%) 14 days 65.96% $16,595.79 Take Profits
2012-06-07 BUY 55.86 (59.21 / 51.95) 2012-06-13 SELL 54.52 -1.34 (-2.40%) 4 days 56.68% $15,667.91 Indicators Changed
2012-05-09 SHORT 55.78 (52.43 / 59.68) 2012-05-29 COVER 57.20 1.42 (-2.55%) 13 days 60.53% $16,053.00 Indicators Changed
2012-04-24 BUY 56.68 (60.08 / 52.71) 2012-05-04 SELL 56.43 -0.25 (-0.44%) 8 days 64.72% $16,472.34 Indicators Changed
2012-03-13 BUY 56.69 (60.09 / 52.72) 2012-03-22 SELL 56.58 -0.11 (-0.19%) 7 days 65.45% $16,545.32 Indicators Changed
2011-12-20 BUY 47.23 (50.06 / 43.92) 2012-01-17 SELL 50.96 3.73 (7.90%) 17 days 65.77% $16,577.48 Take Profits
2011-12-05 BUY 47.03 (49.85 / 43.74) 2011-12-19 SELL 45.62 -1.41 (-3.00%) 10 days 53.64% $15,364.10 Indicators Changed
2011-11-09 SHORT 46.14 (43.37 / 49.37) 2011-11-21 COVER 43.79 -2.35 (5.09%) 8 days 58.39% $15,838.96 Take Profits
2011-10-06 BUY 43.85 (46.48 / 40.78) 2011-10-12 SELL 46.02 2.17 (4.95%) 4 days 50.71% $15,071.35 Take Profits
2011-08-24 BUY 44.73 (47.41 / 41.60) 2011-09-12 SELL 41.60 -3.13 (-7.00%) 12 days 43.61% $14,360.69 Exit on STOP
2011-07-26 SHORT 52.34 (49.20 / 56.00) 2011-07-29 COVER 49.80 -2.54 (4.85%) 3 days 54.42% $15,441.60 Take Profits
2011-06-30 BUY 56.49 (59.88 / 52.54) 2011-07-18 SELL 56.33 -0.16 (-0.28%) 11 days 47.27% $14,726.92 Indicators Changed
2011-04-25 BUY 54.41 (57.67 / 50.60) 2011-04-26 SELL 57.73 3.32 (6.10%) 1 day 47.69% $14,768.75 Take Profits
2011-03-21 BUY 55.00 (58.30 / 51.15) 2011-03-28 SELL 54.27 -0.73 (-1.33%) 5 days 39.19% $13,919.41 Indicators Changed
2011-03-04 BUY 54.89 (58.18 / 51.05) 2011-03-10 SELL 54.38 -0.51 (-0.93%) 4 days 41.07% $14,106.64 Indicators Changed
2011-02-22 SHORT 53.34 (50.14 / 57.07) 2011-03-03 COVER 55.04 1.70 (-3.19%) 7 days 42.39% $14,238.94 Indicators Changed
2010-10-19 SHORT 46.48 (43.69 / 49.73) 2010-12-01 COVER 48.36 1.88 (-4.04%) 30 days 47.08% $14,707.69 Indicators Changed
2010-09-02 BUY 44.26 (46.92 / 41.16) 2010-09-14 SELL 46.77 2.51 (5.67%) 7 days 53.28% $15,327.66 Take Profits
2010-08-12 SHORT 43.19 (40.60 / 46.21) 2010-08-25 COVER 41.14 -2.05 (4.75%) 9 days 45.05% $14,505.07 Take Profits
2010-07-09 BUY 43.33 (45.93 / 40.30) 2010-08-05 SELL 45.64 2.31 (5.33%) 19 days 38.48% $13,847.79 Take Profits
2010-06-15 BUY 46.78 (49.59 / 43.51) 2010-06-24 SELL 43.51 -3.27 (-7.00%) 7 days 31.47% $13,146.90 Exit on STOP
2010-05-06 SHORT 48.24 (45.35 / 51.62) 2010-05-10 COVER 50.24 2.00 (-4.15%) 2 days 41.36% $14,136.46 Indicators Changed
2010-03-18 BUY 47.19 (50.02 / 43.89) 2010-04-20 SELL 50.71 3.52 (7.46%) 22 days 47.48% $14,747.89 Take Profits
2010-01-04 BUY 48.57 (51.48 / 45.17) 2010-01-15 SELL 47.88 -0.69 (-1.42%) 9 days 37.24% $13,724.18 Indicators Changed
2009-12-30 BUY 48.63 (51.55 / 45.23) 2009-12-31 SELL 47.99 -0.64 (-1.32%) 1 day 39.22% $13,921.96 Indicators Changed
2009-10-08 BUY 44.95 (47.65 / 41.80) 2009-10-20 SELL 48.52 3.57 (7.94%) 8 days 41.08% $14,107.62 Take Profits
2009-07-14 BUY 37.19 (39.42 / 34.59) 2009-07-20 SELL 39.94 2.75 (7.39%) 4 days 30.70% $13,069.61 Take Profits
2009-06-02 BUY 35.95 (38.11 / 33.43) 2009-06-11 SELL 37.87 1.92 (5.34%) 7 days 21.70% $12,169.73 Take Profits
2009-04-16 BUY 33.15 (35.14 / 30.83) 2009-06-01 SELL 35.85 2.70 (8.14%) 31 days 15.53% $11,552.73 Take Profits
2009-02-17 SHORT 32.96 (30.98 / 35.27) 2009-02-20 COVER 30.71 -2.25 (6.83%) 3 days 6.83% $10,682.65 Take Profits

 

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

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