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NetflixInc. (NasdaqGS:NFLX)

NasdaqGS:NFLX

Stock Performance

Overall Statistics
Total Trades:   64
Winning Trades:   36
Losing Trades:   28
Success Rate %:   56.25%
Biggest % Gain:   21.33%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 73 days 11.50% $11,150.44
2010 44 days 48.04% $16,506.89
2011 29 days -11.84% $14,553.16
2012 45 days 29.87% $18,899.52
2013 61 days 23.25% $23,294.03
2014 39 days 5.15% $24,494.34
2015 26 days 41.05% $34,548.87
2016 98 days 4.76% $36,194.73
2017 53 days -1.35% $35,705.72
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-05-25 BUY 163.05 (174.46 / 153.27) 2017-06-09 SELL 158.03 -5.02 (-3.08%) 10 days 257.06% $35,705.72 Indicators Changed
2017-04-25 BUY 152.16 (162.81 / 143.03) 2017-05-17 SELL 153.20 1.04 (0.68%) 16 days 268.40% $36,839.95 Indicators Changed
2017-04-13 SHORT 142.92 (132.92 / 151.50) 2017-04-17 COVER 147.25 4.33 (-3.03%) 1 day 265.90% $36,589.86 Indicators Changed
2017-03-22 SHORT 142.65 (132.66 / 151.21) 2017-03-29 COVER 146.47 3.82 (-2.68%) 5 days 277.33% $37,733.05 Indicators Changed
2016-12-02 BUY 120.81 (129.27 / 113.56) 2017-01-04 SELL 129.41 8.60 (7.12%) 21 days 287.71% $38,771.30 Take Profits
2016-10-18 BUY 118.79 (127.11 / 111.66) 2016-10-21 SELL 127.44 8.65 (7.28%) 3 days 261.95% $36,194.73 Take Profits
2016-09-13 SHORT 96.09 (89.36 / 101.86) 2016-10-03 COVER 101.86 5.77 (-6.00%) 14 days 237.38% $33,737.80 Exit on STOP
2016-08-01 BUY 94.37 (100.98 / 88.71) 2016-09-09 SELL 96.50 2.13 (2.26%) 28 days 258.91% $35,891.28 Indicators Changed
2016-07-01 BUY 96.67 (103.44 / 90.87) 2016-07-19 SELL 90.87 -5.80 (-6.00%) 11 days 250.99% $35,099.07 Exit on STOP
2016-05-24 BUY 97.89 (104.74 / 92.02) 2016-06-21 SELL 92.02 -5.87 (-6.00%) 19 days 273.39% $37,339.43 Exit on STOP
2016-04-19 SHORT 94.34 (87.74 / 100.00) 2016-05-12 COVER 87.74 -6.60 (7.00%) 17 days 297.23% $39,722.80 Take Profits
2016-02-25 BUY 94.53 (101.15 / 88.86) 2016-03-04 SELL 101.58 7.05 (7.46%) 6 days 271.26% $37,125.51 Take Profits
2015-11-16 BUY 111.35 (119.14 / 104.67) 2015-11-18 SELL 120.63 9.28 (8.33%) 2 days 245.49% $34,548.87 Take Profits
2015-07-15 SHORT 98.13 (91.26 / 104.02) 2015-07-16 COVER 104.02 5.89 (-6.00%) 1 day 218.91% $31,891.05 Exit on STOP
2015-06-16 BUY 666.91 (713.59 / 626.90) 2015-07-13 SELL 707.90 40.99 (6.15%) 18 days 239.27% $33,926.65 Take Profits
2015-04-08 BUY 441.35 (472.24 / 414.87) 2015-04-13 SELL 474.68 33.33 (7.55%) 3 days 219.62% $31,962.17 Take Profits
2015-01-16 BUY 337.34 (360.95 / 317.10) 2015-01-21 SELL 409.28 71.94 (21.33%) 2 days 197.18% $29,717.92 Take Profits
2014-10-31 BUY 392.77 (420.26 / 369.20) 2014-11-19 SELL 369.20 -23.57 (-6.00%) 13 days 144.94% $24,494.34 Exit on STOP
2014-10-06 BUY 463.48 (495.92 / 435.67) 2014-10-13 SELL 435.67 -27.81 (-6.00%) 5 days 160.58% $26,057.81 Exit on STOP
2014-08-07 BUY 449.67 (481.15 / 422.69) 2014-08-25 SELL 480.93 31.26 (6.95%) 12 days 177.21% $27,721.07 Take Profits
2014-01-24 BUY 386.43 (413.48 / 363.24) 2014-02-07 SELL 429.98 43.55 (11.27%) 9 days 159.19% $25,919.23 Take Profits
2013-12-12 BUY 373.33 (399.46 / 350.93) 2013-12-27 SELL 367.50 -5.83 (-1.56%) 9 days 132.94% $23,294.03 Indicators Changed
2013-11-14 BUY 342.57 (366.55 / 322.02) 2013-11-29 SELL 365.80 23.23 (6.78%) 10 days 136.64% $23,663.57 Take Profits
2013-11-05 BUY 341.50 (365.40 / 321.01) 2013-11-07 SELL 326.86 -14.64 (-4.29%) 2 days 121.61% $22,160.82 Indicators Changed
2013-10-14 BUY 324.36 (347.07 / 304.90) 2013-10-21 SELL 354.99 30.63 (9.44%) 5 days 131.53% $23,153.40 Take Profits
2013-07-05 BUY 225.10 (240.86 / 211.59) 2013-07-09 SELL 247.38 22.28 (9.90%) 2 days 111.56% $21,155.63 Take Profits
2013-06-17 BUY 229.23 (245.28 / 215.48) 2013-06-21 SELL 215.48 -13.75 (-6.00%) 4 days 92.50% $19,250.12 Exit on STOP
2013-05-23 SHORT 226.18 (210.35 / 239.75) 2013-05-29 COVER 215.34 -10.84 (4.79%) 3 days 104.79% $20,478.85 Take Profits
2013-04-23 BUY 216.99 (232.18 / 203.97) 2013-05-14 SELL 233.97 16.98 (7.83%) 15 days 95.42% $19,542.26 Take Profits
2013-03-26 BUY 190.61 (203.95 / 179.17) 2013-04-02 SELL 179.17 -11.44 (-6.00%) 4 days 81.24% $18,124.01 Exit on STOP
2013-03-13 BUY 192.36 (205.83 / 180.82) 2013-03-18 SELL 180.82 -11.54 (-6.00%) 3 days 92.81% $19,280.86 Exit on STOP
2013-01-24 BUY 146.86 (157.14 / 138.05) 2013-01-25 SELL 169.56 22.70 (15.46%) 1 day 105.12% $20,511.55 Take Profits
2013-01-17 SHORT 97.70 (90.86 / 103.56) 2013-01-23 COVER 103.56 5.86 (-6.00%) 3 days 77.66% $17,765.55 Exit on STOP
2012-10-31 BUY 79.24 (84.79 / 74.49) 2012-12-04 SELL 86.65 7.41 (9.35%) 23 days 89.00% $18,899.52 Take Profits
2012-10-24 SHORT 60.12 (55.91 / 63.73) 2012-10-26 COVER 63.73 3.61 (-6.00%) 2 days 72.83% $17,283.30 Exit on STOP
2012-10-01 BUY 56.05 (59.97 / 52.69) 2012-10-03 SELL 62.58 6.53 (11.65%) 2 days 83.86% $18,386.49 Take Profits
2012-09-14 BUY 60.52 (64.76 / 56.89) 2012-09-17 SELL 56.89 -3.63 (-6.00%) 1 day 64.68% $16,467.93 Exit on STOP
2012-07-25 SHORT 60.28 (56.06 / 63.90) 2012-08-01 COVER 54.50 -5.78 (9.59%) 5 days 75.19% $17,519.07 Take Profits
2012-03-20 BUY 115.02 (123.07 / 108.12) 2012-03-22 SELL 118.73 3.71 (3.23%) 2 days 59.86% $15,986.22 Take Profits
2012-02-22 SHORT 112.40 (104.53 / 119.14) 2012-03-07 COVER 105.19 -7.21 (6.41%) 10 days 54.87% $15,486.69 Take Profits
2011-10-06 BUY 82.16 (87.91 / 77.23) 2011-10-10 SELL 77.23 -4.93 (-6.00%) 2 days 45.53% $14,553.16 Exit on STOP
2011-05-18 BUY 161.69 (173.01 / 151.99) 2011-05-25 SELL 172.98 11.29 (6.98%) 5 days 54.82% $15,482.09 Take Profits
2011-04-20 BUY 162.95 (174.36 / 153.17) 2011-04-26 SELL 153.17 -9.78 (-6.00%) 3 days 44.72% $14,471.61 Exit on STOP
2011-03-22 BUY 147.59 (157.92 / 138.73) 2011-03-28 SELL 158.21 10.62 (7.20%) 4 days 53.95% $15,395.33 Take Profits
2011-03-08 SHORT 130.30 (121.18 / 138.12) 2011-03-15 COVER 138.12 7.82 (-6.00%) 5 days 43.62% $14,361.90 Exit on STOP
2011-01-24 SHORT 122.64 (114.06 / 130.00) 2011-01-27 COVER 130.00 7.36 (-6.00%) 3 days 52.79% $15,278.62 Exit on STOP
2011-01-10 BUY 125.25 (134.02 / 117.73) 2011-01-20 SELL 123.33 -1.92 (-1.53%) 7 days 62.54% $16,253.85 Indicators Changed
2010-11-22 BUY 125.55 (134.34 / 118.02) 2010-11-30 SELL 137.27 11.72 (9.33%) 5 days 65.07% $16,506.89 Take Profits
2010-10-21 BUY 115.13 (123.19 / 108.22) 2010-10-29 SELL 115.71 0.58 (0.50%) 6 days 50.98% $15,097.55 Indicators Changed
2010-09-01 BUY 89.94 (96.24 / 84.54) 2010-09-08 SELL 97.33 7.39 (8.22%) 4 days 50.22% $15,021.87 Take Profits
2010-08-06 BUY 78.88 (84.40 / 74.15) 2010-08-11 SELL 84.31 5.43 (6.88%) 3 days 38.81% $13,881.30 Take Profits
2010-07-22 SHORT 69.04 (64.21 / 73.18) 2010-07-29 COVER 65.35 -3.69 (5.34%) 5 days 29.87% $12,987.27 Take Profits
2010-01-28 BUY 42.03 (44.97 / 39.51) 2010-03-01 SELL 46.47 4.44 (10.56%) 21 days 23.28% $12,328.36 Take Profits
2009-12-28 BUY 38.23 (40.91 / 35.94) 2010-01-04 SELL 35.94 -2.29 (-6.00%) 4 days 11.50% $11,150.44 Exit on STOP
2009-10-14 BUY 32.05 (34.29 / 30.13) 2009-10-23 SELL 36.59 4.54 (14.17%) 7 days 18.62% $11,862.17 Take Profits
2009-09-15 BUY 29.98 (32.08 / 28.18) 2009-09-22 SELL 31.82 1.84 (6.14%) 5 days 3.90% $10,390.34 Take Profits
2009-08-07 BUY 30.00 (32.10 / 28.20) 2009-09-01 SELL 28.20 -1.80 (-6.00%) 17 days -2.10% $9,789.51 Exit on STOP
2009-07-13 BUY 28.13 (30.10 / 26.44) 2009-07-22 SELL 30.19 2.06 (7.32%) 7 days 4.14% $10,414.38 Take Profits
2009-07-07 SHORT 25.87 (24.06 / 27.42) 2009-07-09 COVER 26.63 0.76 (-2.94%) 2 days -2.96% $9,703.76 Indicators Changed
2009-06-17 BUY 26.93 (28.82 / 25.31) 2009-07-02 SELL 26.61 -0.32 (-1.19%) 11 days -0.03% $9,997.46 Indicators Changed
2009-06-02 BUY 27.45 (29.37 / 25.80) 2009-06-05 SELL 25.80 -1.65 (-6.00%) 3 days 1.18% $10,117.68 Exit on STOP
2009-03-30 BUY 28.02 (29.98 / 26.34) 2009-04-09 SELL 31.30 3.28 (11.71%) 8 days 7.63% $10,763.49 Take Profits
2009-03-04 BUY 25.14 (26.90 / 23.63) 2009-03-16 SELL 25.77 0.63 (2.51%) 8 days -3.64% $9,635.56 Take Profits
2009-03-02 SHORT 22.90 (21.30 / 24.27) 2009-03-03 COVER 24.27 1.37 (-6.00%) 1 day -6.00% $9,400.00 Exit on STOP

 

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

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