Apologies, this page has not yet been optimized for use on a mobile device.

Please turn your device to Landscape orientation.

Turn Device

x - close message

Maxim Integrated Products Inc. (NasdaqGS:MXIM)

NasdaqGS:MXIM

Stock Performance

Overall Statistics
Total Trades:   72
Winning Trades:   26
Losing Trades:   46
Success Rate %:   36.11%
Biggest % Gain:   15.89%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 66 days 10.40% $11,040.04
2010 102 days 39.72% $15,425.26
2011 66 days 15.50% $17,816.60
2012 132 days -10.15% $16,007.49
2013 106 days -27.77% $11,562.30
2014 82 days -6.72% $10,785.26
2015 97 days -4.24% $10,328.47
2016 123 days 17.99% $12,186.70
2017 135 days 13.80% $13,868.37
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-08-17 SHORT 43.98 (40.46 / 47.06) (Open Position)
2017-06-12 SHORT 46.72 (42.98 / 49.99) 2017-08-14 COVER 45.46 -1.26 (2.70%) 44 days 38.68% $13,868.37 Indicators Changed
2017-05-04 BUY 45.38 (49.01 / 42.20) 2017-06-06 SELL 48.55 3.17 (6.99%) 22 days 35.04% $13,504.17 Take Profits
2017-04-28 SHORT 44.15 (40.62 / 47.24) 2017-05-02 COVER 45.08 0.93 (-2.11%) 2 days 26.22% $12,622.43 Indicators Changed
2017-02-14 SHORT 44.63 (41.06 / 47.75) 2017-04-20 COVER 45.45 0.82 (-1.84%) 45 days 28.94% $12,894.04 Indicators Changed
2016-12-21 BUY 39.18 (42.31 / 36.44) 2017-01-25 SELL 42.23 3.05 (7.78%) 22 days 31.35% $13,135.38 Take Profits
2016-12-08 BUY 39.44 (42.60 / 36.68) 2016-12-09 SELL 39.15 -0.29 (-0.74%) 1 day 21.87% $12,186.70 Indicators Changed
2016-11-16 BUY 39.76 (42.94 / 36.98) 2016-11-30 SELL 39.27 -0.49 (-1.23%) 9 days 22.77% $12,276.97 Indicators Changed
2016-09-07 SHORT 39.63 (36.46 / 42.40) 2016-11-07 COVER 39.79 0.16 (-0.40%) 43 days 24.30% $12,430.16 Indicators Changed
2016-07-11 BUY 37.14 (40.11 / 34.54) 2016-07-26 SELL 40.91 3.77 (10.15%) 11 days 24.81% $12,480.55 Take Profits
2016-06-15 SHORT 37.06 (34.10 / 39.65) 2016-06-27 COVER 33.84 -3.22 (8.69%) 8 days 13.30% $11,330.42 Take Profits
2016-04-29 SHORT 35.72 (32.86 / 38.22) 2016-06-01 COVER 38.22 2.50 (-7.00%) 22 days 4.25% $10,424.66 Exit on STOP
2015-11-23 SHORT 38.46 (35.38 / 41.15) 2016-01-06 COVER 35.18 -3.28 (8.53%) 29 days 12.09% $11,209.31 Take Profits
2015-10-05 BUY 34.08 (36.80 / 31.69) 2015-10-14 SELL 38.33 4.25 (12.49%) 7 days 3.28% $10,328.47 Take Profits
2015-08-28 BUY 34.10 (36.83 / 31.71) 2015-09-22 SELL 33.12 -0.98 (-2.87%) 16 days -8.18% $9,181.91 Indicators Changed
2015-07-27 BUY 33.83 (36.54 / 31.46) 2015-08-18 SELL 33.13 -0.70 (-2.07%) 16 days -5.46% $9,453.59 Indicators Changed
2015-05-14 BUY 34.10 (36.83 / 31.72) 2015-06-08 SELL 33.83 -0.27 (-0.81%) 16 days -3.47% $9,653.34 Indicators Changed
2015-04-21 BUY 35.19 (38.01 / 32.73) 2015-04-24 SELL 32.73 -2.46 (-7.00%) 3 days -2.68% $9,731.81 Exit on STOP
2015-03-16 BUY 36.16 (39.05 / 33.63) 2015-03-25 SELL 33.90 -2.26 (-6.25%) 7 days 4.64% $10,464.31 Indicators Changed
2015-03-02 BUY 35.57 (38.42 / 33.08) 2015-03-10 SELL 35.21 -0.36 (-1.01%) 6 days 11.62% $11,161.93 Indicators Changed
2015-02-09 SHORT 33.73 (31.03 / 36.09) 2015-02-10 COVER 34.38 0.65 (-1.93%) 1 day 12.76% $11,276.06 Indicators Changed
2014-12-31 BUY 31.87 (34.42 / 29.64) 2015-02-06 SELL 33.98 2.11 (6.60%) 25 days 14.98% $11,497.62 Take Profits
2014-11-20 SHORT 28.83 (26.52 / 30.85) 2014-12-03 COVER 30.85 2.02 (-7.00%) 8 days 7.85% $10,785.26 Exit on STOP
2014-08-11 BUY 30.60 (33.05 / 28.46) 2014-09-22 SELL 30.57 -0.03 (-0.10%) 29 days 15.97% $11,597.05 Indicators Changed
2014-04-16 SHORT 31.78 (29.24 / 34.00) 2014-05-19 COVER 33.53 1.75 (-5.51%) 22 days 16.08% $11,608.44 Indicators Changed
2014-04-11 SHORT 31.49 (28.97 / 33.69) 2014-04-15 COVER 32.22 0.73 (-2.32%) 2 days 22.85% $12,284.92 Indicators Changed
2014-01-03 BUY 28.73 (31.03 / 26.72) 2014-02-13 SELL 31.25 2.52 (8.77%) 21 days 25.76% $12,576.46 Take Profits
2013-10-23 SHORT 28.92 (26.61 / 30.94) 2013-10-25 COVER 30.94 2.02 (-7.00%) 2 days 15.62% $11,562.30 Exit on STOP
2013-09-03 BUY 28.16 (30.41 / 26.19) 2013-09-23 SELL 30.04 1.88 (6.68%) 14 days 24.33% $12,432.58 Take Profits
2013-06-19 BUY 28.28 (30.54 / 26.30) 2013-08-15 SELL 27.76 -0.52 (-1.84%) 40 days 16.55% $11,654.51 Indicators Changed
2013-05-08 BUY 31.81 (34.35 / 29.58) 2013-05-23 SELL 30.02 -1.79 (-5.63%) 11 days 18.73% $11,872.82 Indicators Changed
2013-04-23 BUY 32.77 (35.39 / 30.48) 2013-04-26 SELL 30.48 -2.29 (-7.00%) 3 days 25.81% $12,580.76 Exit on STOP
2013-04-16 BUY 32.69 (35.31 / 30.40) 2013-04-17 SELL 31.41 -1.28 (-3.92%) 1 day 35.28% $13,527.70 Indicators Changed
2013-03-28 BUY 32.64 (35.25 / 30.36) 2013-04-15 SELL 31.74 -0.90 (-2.76%) 11 days 40.79% $14,078.97 Indicators Changed
2013-03-11 BUY 32.13 (34.70 / 29.88) 2013-03-21 SELL 31.59 -0.54 (-1.68%) 8 days 44.78% $14,478.19 Indicators Changed
2013-02-08 BUY 32.31 (34.89 / 30.05) 2013-02-20 SELL 31.77 -0.54 (-1.67%) 7 days 47.26% $14,725.68 Indicators Changed
2013-01-08 SHORT 29.59 (27.22 / 31.66) 2013-01-17 COVER 30.67 1.08 (-3.65%) 7 days 49.76% $14,975.97 Indicators Changed
2013-01-02 BUY 30.69 (33.15 / 28.54) 2013-01-04 SELL 29.80 -0.89 (-2.90%) 2 days 55.43% $15,543.28 Indicators Changed
2012-11-15 SHORT 27.42 (25.23 / 29.34) 2012-11-29 COVER 29.34 1.92 (-7.00%) 9 days 60.07% $16,007.49 Exit on STOP
2012-10-26 BUY 27.77 (29.99 / 25.83) 2012-11-14 SELL 27.88 0.11 (0.40%) 11 days 72.12% $17,212.36 Indicators Changed
2012-10-02 BUY 27.22 (29.40 / 25.31) 2012-10-19 SELL 26.64 -0.58 (-2.13%) 13 days 71.44% $17,144.45 Indicators Changed
2012-07-19 BUY 25.67 (27.72 / 23.87) 2012-08-03 SELL 27.55 1.88 (7.32%) 11 days 75.18% $17,517.71 Take Profits
2012-06-29 BUY 25.64 (27.69 / 23.85) 2012-07-06 SELL 25.15 -0.49 (-1.91%) 4 days 63.22% $16,322.31 Indicators Changed
2012-06-06 BUY 25.91 (27.98 / 24.10) 2012-06-26 SELL 24.64 -1.27 (-4.90%) 14 days 66.40% $16,640.32 Indicators Changed
2012-04-27 BUY 29.86 (32.25 / 27.77) 2012-05-04 SELL 27.77 -2.09 (-7.00%) 5 days 74.98% $17,498.00 Exit on STOP
2012-03-14 BUY 28.45 (30.73 / 26.46) 2012-04-20 SELL 27.17 -1.28 (-4.50%) 26 days 88.15% $18,815.05 Indicators Changed
2011-12-20 BUY 25.90 (27.97 / 24.09) 2012-02-16 SELL 28.64 2.74 (10.58%) 39 days 97.01% $19,701.45 Take Profits
2011-11-11 BUY 26.75 (28.89 / 24.88) 2011-11-17 SELL 25.76 -0.99 (-3.70%) 4 days 78.17% $17,816.60 Indicators Changed
2011-11-03 BUY 26.49 (28.61 / 24.64) 2011-11-09 SELL 25.89 -0.60 (-2.27%) 4 days 85.01% $18,501.32 Indicators Changed
2011-08-11 BUY 22.69 (24.51 / 21.10) 2011-09-14 SELL 25.16 2.47 (10.89%) 23 days 89.30% $18,930.09 Take Profits
2011-04-21 BUY 26.15 (28.24 / 24.32) 2011-05-06 SELL 27.88 1.73 (6.62%) 10 days 70.72% $17,071.69 Take Profits
2011-04-12 SHORT 24.66 (22.69 / 26.39) 2011-04-20 COVER 25.59 0.93 (-3.77%) 6 days 60.12% $16,012.36 Indicators Changed
2011-03-09 SHORT 25.76 (23.70 / 27.56) 2011-03-16 COVER 23.66 -2.10 (8.15%) 5 days 66.40% $16,639.90 Take Profits
2011-02-14 BUY 28.00 (30.24 / 26.04) 2011-02-23 SELL 26.56 -1.44 (-5.14%) 6 days 53.86% $15,385.64 Indicators Changed
2011-01-10 BUY 24.85 (26.84 / 23.11) 2011-01-21 SELL 26.13 1.28 (5.15%) 8 days 62.20% $16,219.80 Take Profits
2010-11-16 SHORT 22.24 (20.46 / 23.80) 2010-11-24 COVER 23.80 1.56 (-7.00%) 6 days 54.25% $15,425.26 Exit on STOP
2010-09-29 BUY 18.69 (20.19 / 17.38) 2010-10-29 SELL 21.66 2.97 (15.89%) 22 days 65.86% $16,586.30 Take Profits
2010-09-03 BUY 16.91 (18.26 / 15.73) 2010-09-28 SELL 18.26 1.35 (7.98%) 16 days 43.12% $14,312.00 Take Profits
2010-08-10 SHORT 17.67 (16.26 / 18.91) 2010-08-24 COVER 16.18 -1.49 (8.43%) 10 days 32.54% $13,253.89 Take Profits
2010-07-08 BUY 17.68 (19.09 / 16.44) 2010-07-30 SELL 17.53 -0.15 (-0.85%) 16 days 22.23% $12,223.18 Indicators Changed
2010-06-03 BUY 18.04 (19.48 / 16.78) 2010-06-07 SELL 16.78 -1.26 (-7.00%) 2 days 23.28% $12,327.77 Exit on STOP
2010-04-27 SHORT 20.13 (18.52 / 21.54) 2010-05-06 COVER 17.88 -2.25 (11.18%) 7 days 32.56% $13,255.67 Take Profits
2010-02-11 BUY 18.13 (19.58 / 16.86) 2010-03-17 SELL 19.58 1.45 (8.00%) 23 days 19.23% $11,923.00 Take Profits
2009-11-19 SHORT 17.56 (16.16 / 18.79) 2009-12-01 COVER 18.11 0.55 (-3.13%) 7 days 10.40% $11,040.04 Indicators Changed
2009-10-12 BUY 18.50 (19.98 / 17.20) 2009-10-27 SELL 17.97 -0.53 (-2.86%) 11 days 13.97% $11,397.00 Indicators Changed
2009-09-04 BUY 18.70 (20.20 / 17.39) 2009-09-17 SELL 18.06 -0.64 (-3.42%) 8 days 17.33% $11,733.14 Indicators Changed
2009-08-12 BUY 18.43 (19.90 / 17.14) 2009-08-20 SELL 18.36 -0.07 (-0.38%) 6 days 21.49% $12,148.93 Indicators Changed
2009-07-09 BUY 15.75 (17.01 / 14.65) 2009-07-15 SELL 16.91 1.16 (7.37%) 4 days 21.95% $12,195.25 Take Profits
2009-05-19 BUY 14.92 (16.11 / 13.88) 2009-05-28 SELL 16.10 1.18 (7.91%) 6 days 13.59% $11,358.68 Take Profits
2009-05-04 BUY 15.31 (16.53 / 14.24) 2009-05-07 SELL 14.24 -1.07 (-7.00%) 3 days 5.26% $10,526.18 Exit on STOP
2009-04-09 BUY 14.25 (15.39 / 13.25) 2009-04-21 SELL 13.86 -0.39 (-2.74%) 7 days 13.18% $11,318.47 Indicators Changed
2009-03-13 BUY 12.49 (13.49 / 11.62) 2009-03-19 SELL 13.56 1.07 (8.57%) 4 days 16.37% $11,636.96 Take Profits
2009-01-23 BUY 12.94 (13.98 / 12.03) 2009-02-06 SELL 13.87 0.93 (7.19%) 10 days 7.19% $10,718.70 Take Profits

 

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

Disclaimer

Past performance is no guarantee of future results.

The information provided on this site is presented without guarantee, and may result in financial loss. All financial decisions are made solely by the user.

Traderific will not be held liable for any losses or damages incurred in the use of information presented on this site.

By using this site, you agree to the Terms of Service.