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McKesson Corp. (NYSE:MCK)

NYSE:MCK

Stock Performance

Overall Statistics
Total Trades:   75
Winning Trades:   28
Losing Trades:   47
Success Rate %:   37.33%
Biggest % Gain:   15.48%
Biggest % Loss   -5.35%
 
Year Days In % Gain Account
$10,000.00
2009 45 days 2.87% $10,286.55
2010 95 days 0.92% $10,381.46
2011 134 days 36.12% $14,131.27
2012 179 days 25.86% $17,785.88
2013 125 days 14.04% $20,283.54
2014 83 days -4.13% $19,446.25
2015 150 days 6.91% $20,789.34
2016 114 days -3.96% $19,965.30
2017 105 days -2.91% $19,383.42
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-10-09 SHORT 148.19 (133.37 / 152.64) (Open Position)
2017-09-22 BUY 154.11 (169.52 / 149.49) 2017-10-06 SELL 149.49 -4.62 (-3.00%) 10 days 93.83% $19,383.42 Exit on STOP
2017-09-13 BUY 157.77 (173.55 / 153.04) 2017-09-14 SELL 153.04 -4.73 (-3.00%) 1 day 99.83% $19,982.90 Exit on STOP
2017-07-27 SHORT 162.58 (146.32 / 167.46) 2017-08-18 COVER 145.99 -16.59 (10.20%) 16 days 106.01% $20,600.93 Take Profits
2017-04-03 SHORT 146.07 (131.46 / 150.45) 2017-05-19 COVER 150.45 4.38 (-3.00%) 33 days 86.93% $18,693.42 Exit on STOP
2017-03-28 BUY 149.86 (164.85 / 145.36) 2017-03-31 SELL 148.25 -1.61 (-1.07%) 3 days 92.72% $19,271.56 Indicators Changed
2017-02-13 BUY 140.45 (154.49 / 136.24) 2017-03-24 SELL 145.65 5.20 (3.70%) 28 days 94.81% $19,480.85 Indicators Changed
2017-01-13 BUY 147.16 (161.88 / 142.75) 2017-01-26 SELL 142.75 -4.41 (-3.00%) 8 days 87.85% $18,785.35 Exit on STOP
2017-01-03 BUY 147.41 (162.15 / 142.99) 2017-01-11 SELL 142.99 -4.42 (-3.00%) 6 days 93.66% $19,366.34 Exit on STOP
2016-11-10 BUY 147.49 (162.24 / 143.07) 2016-11-11 SELL 143.07 -4.42 (-3.00%) 1 day 99.65% $19,965.30 Exit on STOP
2016-10-28 SHORT 124.57 (112.11 / 128.31) 2016-10-31 COVER 128.31 3.74 (-3.00%) 1 day 105.83% $20,582.78 Exit on STOP
2016-06-29 BUY 183.34 (201.67 / 177.84) 2016-08-25 SELL 183.33 -0.01 (-0.01%) 40 days 112.19% $21,219.36 Indicators Changed
2016-05-16 BUY 172.53 (189.78 / 167.35) 2016-06-24 SELL 177.02 4.49 (2.60%) 28 days 112.21% $21,220.52 Indicators Changed
2016-04-06 BUY 163.25 (179.57 / 158.35) 2016-04-29 SELL 167.82 4.57 (2.80%) 17 days 106.82% $20,682.27 Indicators Changed
2016-03-29 BUY 158.87 (174.76 / 154.10) 2016-04-05 SELL 154.66 -4.21 (-2.65%) 5 days 101.19% $20,119.06 Indicators Changed
2016-02-16 BUY 152.59 (167.85 / 148.01) 2016-03-17 SELL 151.69 -0.90 (-0.59%) 22 days 106.67% $20,666.72 Indicators Changed
2015-10-09 BUY 189.95 (208.94 / 184.25) 2015-10-21 SELL 184.25 -5.70 (-3.00%) 8 days 107.89% $20,789.34 Exit on STOP
2015-07-27 SHORT 224.76 (202.28 / 231.50) 2015-08-24 COVER 197.80 -26.96 (12.00%) 20 days 114.32% $21,432.31 Take Profits
2015-07-14 BUY 233.83 (257.21 / 226.82) 2015-07-24 SELL 226.82 -7.01 (-3.00%) 8 days 91.37% $19,136.84 Exit on STOP
2015-05-11 BUY 228.54 (251.39 / 221.68) 2015-06-24 SELL 230.53 1.99 (0.87%) 31 days 97.29% $19,728.70 Indicators Changed
2015-04-30 SHORT 223.40 (201.06 / 230.10) 2015-05-08 COVER 229.08 5.68 (-2.54%) 6 days 95.58% $19,558.40 Indicators Changed
2015-04-01 SHORT 222.71 (200.44 / 229.39) 2015-04-20 COVER 229.39 6.68 (-3.00%) 12 days 100.69% $20,068.65 Exit on STOP
2014-12-18 BUY 211.97 (233.17 / 205.61) 2015-03-25 SELL 225.52 13.55 (6.39%) 65 days 106.89% $20,689.33 Indicators Changed
2014-10-10 SHORT 193.97 (174.57 / 199.79) 2014-10-23 COVER 199.79 5.82 (-3.00%) 9 days 94.46% $19,446.25 Exit on STOP
2014-10-07 SHORT 193.66 (174.29 / 199.47) 2014-10-08 COVER 199.47 5.81 (-3.00%) 1 day 100.48% $20,047.68 Exit on STOP
2014-10-01 SHORT 192.57 (173.31 / 198.35) 2014-10-03 COVER 198.35 5.78 (-3.00%) 2 days 106.68% $20,667.71 Exit on STOP
2014-08-14 BUY 192.14 (211.35 / 186.38) 2014-09-25 SELL 194.01 1.87 (0.97%) 29 days 113.07% $21,306.92 Indicators Changed
2014-08-07 SHORT 186.58 (167.92 / 192.18) 2014-08-11 COVER 192.18 5.60 (-3.00%) 2 days 111.02% $21,101.54 Exit on STOP
2014-07-02 BUY 189.44 (208.38 / 183.76) 2014-08-06 SELL 190.44 1.00 (0.53%) 24 days 117.54% $21,754.17 Indicators Changed
2014-05-12 BUY 174.23 (191.65 / 169.00) 2014-06-03 SELL 191.63 17.40 (9.99%) 15 days 116.40% $21,639.94 Take Profits
2014-01-10 BUY 175.44 (192.98 / 170.18) 2014-01-13 SELL 170.18 -5.26 (-3.00%) 1 day 96.75% $19,675.03 Exit on STOP
2013-10-08 BUY 133.72 (147.09 / 129.71) 2013-10-24 SELL 150.00 16.28 (12.17%) 12 days 102.84% $20,283.54 Take Profits
2013-08-27 SHORT 120.85 (108.76 / 124.48) 2013-09-09 COVER 124.48 3.63 (-3.00%) 8 days 80.82% $18,082.10 Exit on STOP
2013-06-27 BUY 115.57 (127.13 / 112.10) 2013-08-12 SELL 122.87 7.30 (6.32%) 31 days 86.41% $18,641.34 Indicators Changed
2013-06-20 SHORT 110.79 (99.71 / 114.11) 2013-06-26 COVER 114.11 3.32 (-3.00%) 4 days 75.34% $17,533.81 Exit on STOP
2013-05-03 BUY 108.14 (118.95 / 104.90) 2013-05-22 SELL 117.55 9.41 (8.70%) 13 days 80.76% $18,076.10 Take Profits
2013-02-28 BUY 106.13 (116.74 / 102.95) 2013-04-18 SELL 105.46 -0.67 (-0.63%) 34 days 66.29% $16,629.09 Indicators Changed
2013-02-01 SHORT 103.19 (92.87 / 106.29) 2013-02-27 COVER 106.29 3.10 (-3.00%) 17 days 67.35% $16,734.73 Exit on STOP
2012-12-26 SHORT 96.60 (86.94 / 99.50) 2013-01-04 COVER 99.50 2.90 (-3.00%) 6 days 72.52% $17,252.30 Exit on STOP
2012-10-04 BUY 89.87 (98.86 / 87.17) 2012-12-18 SELL 99.62 9.75 (10.85%) 50 days 77.86% $17,785.88 Take Profits
2012-09-05 BUY 88.65 (97.52 / 85.99) 2012-09-14 SELL 85.99 -2.66 (-3.00%) 7 days 60.45% $16,045.14 Exit on STOP
2012-07-23 SHORT 93.83 (84.45 / 96.64) 2012-08-27 COVER 87.59 -6.24 (6.65%) 25 days 65.41% $16,541.38 Indicators Changed
2012-06-06 BUY 88.13 (96.94 / 85.49) 2012-07-18 SELL 96.67 8.54 (9.69%) 29 days 55.10% $15,509.92 Take Profits
2012-04-12 BUY 91.34 (100.47 / 88.60) 2012-05-08 SELL 88.60 -2.74 (-3.00%) 18 days 41.40% $14,139.75 Exit on STOP
2012-03-08 BUY 85.56 (94.12 / 82.99) 2012-03-30 SELL 87.77 2.21 (2.58%) 16 days 45.77% $14,577.06 Indicators Changed
2012-03-06 SHORT 82.28 (74.05 / 84.75) 2012-03-07 COVER 83.01 0.73 (-0.89%) 1 day 42.10% $14,210.02 Indicators Changed
2012-01-26 BUY 78.56 (86.42 / 76.20) 2012-03-02 SELL 82.17 3.61 (4.60%) 25 days 43.37% $14,337.22 Indicators Changed
2012-01-03 BUY 79.54 (87.49 / 77.15) 2012-01-13 SELL 77.15 -2.39 (-3.00%) 8 days 37.07% $13,707.34 Exit on STOP
2011-12-27 BUY 79.05 (86.95 / 76.68) 2011-12-28 SELL 77.24 -1.81 (-2.29%) 1 day 41.31% $14,131.27 Indicators Changed
2011-10-12 BUY 73.69 (81.06 / 71.48) 2011-10-26 SELL 81.75 8.06 (10.94%) 10 days 44.62% $14,462.42 Take Profits
2011-09-16 BUY 76.63 (84.29 / 74.33) 2011-09-22 SELL 74.33 -2.30 (-3.00%) 4 days 30.37% $13,036.52 Exit on STOP
2011-05-23 SHORT 84.17 (75.75 / 86.70) 2011-08-04 COVER 74.92 -9.25 (10.99%) 51 days 34.40% $13,439.71 Take Profits
2011-04-14 BUY 78.77 (86.65 / 76.41) 2011-05-18 SELL 86.88 8.11 (10.30%) 23 days 21.09% $12,108.98 Take Profits
2011-03-24 BUY 79.73 (87.70 / 77.34) 2011-04-12 SELL 77.60 -2.13 (-2.67%) 13 days 9.79% $10,978.64 Indicators Changed
2011-01-20 SHORT 73.76 (66.38 / 75.97) 2011-02-01 COVER 75.97 2.21 (-3.00%) 8 days 12.80% $11,279.99 Exit on STOP
2010-12-02 BUY 66.83 (73.51 / 64.83) 2011-01-06 SELL 74.86 8.03 (12.02%) 24 days 16.29% $11,628.85 Take Profits
2010-10-25 BUY 61.68 (67.85 / 59.83) 2010-11-01 SELL 67.88 6.20 (10.05%) 5 days 3.81% $10,381.46 Take Profits
2010-10-12 BUY 61.26 (67.39 / 59.42) 2010-10-22 SELL 61.08 -0.18 (-0.29%) 8 days -5.67% $9,433.24 Indicators Changed
2010-09-24 BUY 61.91 (68.10 / 60.05) 2010-10-04 SELL 60.05 -1.86 (-3.00%) 6 days -5.39% $9,461.04 Exit on STOP
2010-09-15 BUY 62.98 (69.28 / 61.09) 2010-09-23 SELL 61.09 -1.89 (-3.00%) 6 days -2.46% $9,753.65 Exit on STOP
2010-07-15 BUY 69.40 (76.34 / 67.32) 2010-07-19 SELL 67.32 -2.08 (-3.00%) 2 days 0.55% $10,055.31 Exit on STOP
2010-06-25 BUY 68.16 (74.98 / 66.12) 2010-06-29 SELL 67.45 -0.71 (-1.04%) 2 days 3.66% $10,366.30 Indicators Changed
2010-05-25 SHORT 67.81 (61.03 / 69.84) 2010-05-27 COVER 69.84 2.03 (-3.00%) 2 days 4.75% $10,475.42 Exit on STOP
2010-05-10 BUY 66.49 (73.14 / 64.50) 2010-05-20 SELL 67.64 1.15 (1.73%) 8 days 7.99% $10,799.40 Indicators Changed
2010-05-04 BUY 67.54 (74.29 / 65.51) 2010-05-06 SELL 65.51 -2.03 (-3.00%) 2 days 6.16% $10,615.79 Exit on STOP
2010-04-23 BUY 68.03 (74.83 / 65.99) 2010-04-27 SELL 65.99 -2.04 (-3.00%) 2 days 9.44% $10,944.11 Exit on STOP
2010-03-01 BUY 60.40 (66.44 / 58.59) 2010-03-30 SELL 66.72 6.32 (10.46%) 21 days 12.83% $11,282.59 Take Profits
2010-01-21 SHORT 61.33 (55.20 / 63.17) 2010-02-16 COVER 59.88 -1.45 (2.36%) 17 days 2.14% $10,213.86 Indicators Changed
2009-12-15 BUY 63.74 (70.11 / 61.83) 2010-01-06 SELL 61.83 -1.91 (-3.00%) 14 days -0.22% $9,977.95 Exit on STOP
2009-11-06 BUY 62.58 (68.84 / 60.70) 2009-12-04 SELL 60.70 -1.88 (-3.00%) 19 days 2.87% $10,286.55 Exit on STOP
2009-06-17 BUY 43.11 (47.42 / 41.82) 2009-06-22 SELL 43.49 0.38 (0.88%) 3 days 6.05% $10,604.69 Indicators Changed
2009-06-05 BUY 41.62 (45.78 / 40.37) 2009-06-15 SELL 41.51 -0.11 (-0.26%) 6 days 5.12% $10,512.03 Indicators Changed
2009-04-27 BUY 36.90 (40.59 / 35.79) 2009-04-29 SELL 35.79 -1.11 (-3.00%) 2 days 5.40% $10,539.89 Exit on STOP
2009-04-16 BUY 36.28 (39.91 / 35.19) 2009-04-21 SELL 35.19 -1.09 (-3.00%) 3 days 8.66% $10,865.86 Exit on STOP
2009-02-26 SHORT 41.14 (37.03 / 42.37) 2009-03-11 COVER 34.77 -6.37 (15.48%) 9 days 12.02% $11,201.92 Take Profits
2009-01-27 BUY 45.22 (49.74 / 43.86) 2009-01-30 SELL 43.86 -1.36 (-3.00%) 3 days -3.00% $9,700.00 Exit on STOP

 

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

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