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

Nike Inc. (NYSE:NKE)

NYSE:NKE

Stock Performance

Overall Statistics
Total Trades:   53
Winning Trades:   28
Losing Trades:   25
Success Rate %:   52.83%
Biggest % Gain:   17.13%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 74 days 23.06% $12,305.70
2010 112 days 21.89% $14,998.95
2011 129 days 22.06% $18,307.67
2012 154 days 11.44% $20,402.50
2013 150 days 31.47% $26,822.20
2014 82 days -3.83% $25,795.23
2015 209 days 28.52% $33,153.19
2016 88 days -1.83% $32,545.06
2017 70 days 12.27% $36,539.93
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-03-22 SHORT 53.93 (47.46 / 57.71) (Open Position)
2016-11-08 BUY 51.08 (57.21 / 47.50) 2017-02-21 SELL 57.35 6.27 (12.27%) 70 days 265.40% $36,539.93 Take Profits
2016-10-20 BUY 51.88 (58.11 / 48.25) 2016-11-03 SELL 49.73 -2.15 (-4.14%) 10 days 225.45% $32,545.06 Indicators Changed
2016-08-11 BUY 56.73 (63.54 / 52.76) 2016-09-09 SELL 55.35 -1.38 (-2.43%) 20 days 239.52% $33,952.10 Indicators Changed
2016-08-05 BUY 55.85 (62.55 / 51.94) 2016-08-10 SELL 55.13 -0.72 (-1.29%) 3 days 247.99% $34,798.60 Indicators Changed
2016-06-30 BUY 55.20 (61.82 / 51.34) 2016-08-02 SELL 54.92 -0.28 (-0.51%) 22 days 252.53% $35,253.07 Indicators Changed
2016-05-11 SHORT 57.01 (50.17 / 61.00) 2016-06-28 COVER 53.09 -3.92 (6.88%) 33 days 254.33% $35,432.80 Indicators Changed
2015-12-16 BUY 130.93 (146.64 / 121.76) 2015-12-24 SELL 121.76 -9.17 (-7.00%) 6 days 231.53% $33,153.19 Exit on STOP
2015-11-20 BUY 132.65 (148.57 / 123.36) 2015-11-30 SELL 132.28 -0.37 (-0.28%) 5 days 256.49% $35,648.60 Indicators Changed
2015-09-08 BUY 111.75 (125.16 / 103.93) 2015-09-25 SELL 125.00 13.25 (11.86%) 13 days 257.48% $35,748.31 Take Profits
2015-07-27 SHORT 111.73 (98.32 / 119.55) 2015-08-24 COVER 103.87 -7.86 (7.03%) 20 days 219.59% $31,958.99 Take Profits
2015-05-07 BUY 101.45 (113.62 / 94.35) 2015-07-22 SELL 114.09 12.64 (12.46%) 52 days 198.58% $29,858.50 Take Profits
2015-04-17 SHORT 98.55 (86.72 / 105.45) 2015-05-01 COVER 100.78 2.23 (-2.26%) 10 days 165.50% $26,550.48 Indicators Changed
2015-02-19 BUY 93.70 (104.94 / 87.14) 2015-04-01 SELL 99.55 5.85 (6.24%) 29 days 171.65% $27,165.18 Indicators Changed
2015-01-23 BUY 96.16 (107.70 / 89.43) 2015-01-27 SELL 94.50 -1.66 (-1.73%) 2 days 155.69% $25,568.83 Indicators Changed
2015-01-08 BUY 97.06 (108.71 / 90.27) 2015-01-14 SELL 93.71 -3.35 (-3.45%) 4 days 160.18% $26,017.98 Indicators Changed
2014-09-26 BUY 89.50 (100.24 / 83.23) 2015-01-05 SELL 93.50 4.00 (4.47%) 68 days 169.48% $26,948.08 Indicators Changed
2014-08-01 SHORT 76.78 (67.57 / 82.15) 2014-08-18 COVER 78.55 1.77 (-2.31%) 11 days 157.95% $25,795.23 Indicators Changed
2014-07-24 BUY 78.60 (88.03 / 73.10) 2014-07-31 SELL 77.13 -1.47 (-1.87%) 5 days 164.04% $26,403.91 Indicators Changed
2014-04-17 BUY 74.03 (82.91 / 68.85) 2014-06-11 SELL 75.14 1.11 (1.50%) 37 days 169.07% $26,907.14 Indicators Changed
2014-03-21 SHORT 75.21 (66.18 / 80.47) 2014-04-16 COVER 73.10 -2.11 (2.81%) 18 days 165.10% $26,509.65 Indicators Changed
2013-12-26 BUY 78.19 (87.57 / 72.72) 2014-01-14 SELL 75.17 -3.02 (-3.86%) 11 days 157.86% $25,786.23 Indicators Changed
2013-10-10 BUY 73.44 (82.25 / 68.30) 2013-12-12 SELL 76.23 2.79 (3.80%) 44 days 168.22% $26,822.20 Indicators Changed
2013-09-05 BUY 65.38 (73.23 / 60.80) 2013-09-27 SELL 73.64 8.26 (12.63%) 16 days 158.41% $25,840.52 Take Profits
2013-06-28 BUY 63.68 (71.32 / 59.22) 2013-08-15 SELL 63.49 -0.19 (-0.30%) 33 days 129.42% $22,942.06 Indicators Changed
2013-03-22 BUY 59.53 (66.67 / 55.36) 2013-04-18 SELL 60.18 0.65 (1.09%) 18 days 130.11% $23,010.71 Indicators Changed
2012-11-19 BUY 48.16 (53.94 / 44.79) 2013-01-16 SELL 53.73 5.57 (11.57%) 39 days 127.62% $22,762.18 Take Profits
2012-11-05 BUY 47.63 (53.35 / 44.30) 2012-11-12 SELL 46.15 -1.48 (-3.11%) 5 days 104.03% $20,402.50 Indicators Changed
2012-10-16 BUY 48.62 (54.45 / 45.22) 2012-10-24 SELL 46.45 -2.17 (-4.46%) 6 days 110.57% $21,056.80 Indicators Changed
2012-07-13 BUY 46.98 (52.62 / 43.69) 2012-09-26 SELL 47.74 0.76 (1.62%) 52 days 120.41% $22,040.50 Indicators Changed
2012-06-13 SHORT 51.11 (44.98 / 54.69) 2012-06-29 COVER 43.89 -7.22 (14.13%) 12 days 116.90% $21,689.63 Take Profits
2012-06-01 SHORT 52.30 (46.02 / 55.96) 2012-06-08 COVER 54.32 2.02 (-3.86%) 5 days 90.05% $19,004.92 Indicators Changed
2012-05-08 SHORT 54.37 (47.85 / 58.18) 2012-05-29 COVER 55.46 1.09 (-2.00%) 14 days 97.68% $19,768.44 Indicators Changed
2012-03-22 SHORT 55.49 (48.83 / 59.37) 2012-04-26 COVER 55.17 -0.32 (0.58%) 24 days 101.73% $20,172.86 Indicators Changed
2011-12-23 BUY 48.45 (54.26 / 45.06) 2012-02-16 SELL 53.08 4.63 (9.56%) 36 days 100.57% $20,057.20 Indicators Changed
2011-11-28 BUY 47.45 (53.14 / 44.13) 2011-12-14 SELL 47.20 -0.25 (-0.53%) 12 days 83.08% $18,307.67 Indicators Changed
2011-10-05 BUY 43.90 (49.17 / 40.83) 2011-10-17 SELL 45.51 1.61 (3.67%) 8 days 84.05% $18,404.64 Indicators Changed
2011-09-13 BUY 42.91 (48.06 / 39.91) 2011-09-30 SELL 42.76 -0.15 (-0.35%) 13 days 77.54% $17,753.54 Indicators Changed
2011-08-24 BUY 42.90 (48.05 / 39.90) 2011-09-09 SELL 41.25 -1.65 (-3.85%) 11 days 78.16% $17,815.82 Indicators Changed
2011-06-20 BUY 41.62 (46.61 / 38.71) 2011-07-07 SELL 46.83 5.21 (12.52%) 12 days 85.28% $18,528.45 Take Profits
2011-04-14 BUY 40.04 (44.84 / 37.24) 2011-05-23 SELL 41.81 1.77 (4.42%) 26 days 64.67% $16,467.10 Indicators Changed
2011-02-04 BUY 42.87 (48.01 / 39.87) 2011-03-11 SELL 43.59 0.72 (1.68%) 24 days 57.70% $15,769.97 Indicators Changed
2010-12-22 SHORT 43.48 (38.26 / 46.52) 2011-01-26 COVER 42.00 -1.48 (3.40%) 23 days 55.09% $15,509.49 Indicators Changed
2010-11-18 BUY 41.23 (46.18 / 38.34) 2010-12-21 SELL 46.15 4.92 (11.93%) 22 days 49.99% $14,998.95 Take Profits
2010-09-02 BUY 36.48 (40.86 / 33.93) 2010-10-08 SELL 41.02 4.54 (12.45%) 25 days 34.00% $13,399.93 Take Profits
2010-06-15 BUY 36.99 (41.43 / 34.40) 2010-06-24 SELL 34.81 -2.18 (-5.89%) 7 days 19.17% $11,916.85 Indicators Changed
2010-05-10 BUY 38.33 (42.93 / 35.65) 2010-05-19 SELL 35.65 -2.68 (-7.00%) 7 days 26.63% $12,663.16 Exit on STOP
2010-02-16 BUY 31.82 (35.64 / 29.59) 2010-03-17 SELL 35.44 3.62 (11.38%) 21 days 36.16% $13,616.30 Take Profits
2009-12-18 BUY 32.21 (36.08 / 29.96) 2010-02-03 SELL 32.00 -0.21 (-0.65%) 30 days 22.25% $12,225.47 Indicators Changed
2009-11-16 BUY 33.05 (37.02 / 30.74) 2009-12-08 SELL 31.77 -1.28 (-3.87%) 15 days 23.06% $12,305.70 Indicators Changed
2009-09-08 BUY 27.62 (30.93 / 25.69) 2009-09-30 SELL 32.35 4.73 (17.13%) 16 days 28.01% $12,801.49 Take Profits
2009-07-15 BUY 26.46 (29.64 / 24.61) 2009-08-21 SELL 27.82 1.36 (5.14%) 27 days 9.30% $10,929.74 Indicators Changed
2009-05-12 SHORT 25.49 (22.43 / 27.27) 2009-05-26 COVER 27.27 1.78 (-7.00%) 9 days 3.95% $10,395.43 Exit on STOP
2009-03-10 BUY 20.80 (23.30 / 19.34) 2009-03-19 SELL 23.25 2.45 (11.78%) 7 days 11.78% $11,177.88 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.