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NetApp Inc. (NasdaqGS:NTAP)

NasdaqGS:NTAP

Stock Performance

Overall Statistics
Total Trades:   62
Winning Trades:   29
Losing Trades:   33
Success Rate %:   46.77%
Biggest % Gain:   15.35%
Biggest % Loss   -5.35%
 
Year Days In % Gain Account
$10,000.00
2009 90 days 46.03% $14,602.79
2010 96 days 38.47% $20,220.43
2011 74 days 1.48% $20,519.55
2012 100 days 40.76% $28,883.79
2013 100 days -10.10% $25,966.50
2014 99 days -3.80% $24,980.08
2015 129 days 1.77% $25,422.37
2016 61 days 14.84% $29,194.46
2017 101 days -12.05% $25,676.58
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-07-12 BUY 40.16 (45.79 / 38.16) 2017-08-17 SELL 39.58 -0.58 (-1.46%) 26 days 156.77% $25,676.58 Indicators Changed
2017-06-23 BUY 39.88 (45.47 / 37.89) 2017-07-06 SELL 38.31 -1.57 (-3.95%) 8 days 160.56% $26,056.08 Indicators Changed
2017-05-25 BUY 40.96 (46.69 / 38.91) 2017-06-01 SELL 39.61 -1.35 (-3.30%) 4 days 171.27% $27,127.30 Indicators Changed
2017-03-09 SHORT 41.98 (36.10 / 44.08) 2017-05-15 COVER 41.50 -0.48 (1.14%) 46 days 180.52% $28,051.86 Indicators Changed
2016-12-28 SHORT 35.83 (30.81 / 37.62) 2017-01-24 COVER 37.62 1.79 (-5.00%) 17 days 177.35% $27,734.74 Exit on STOP
2016-11-11 BUY 33.86 (38.60 / 32.17) 2016-11-17 SELL 36.90 3.04 (8.97%) 4 days 191.94% $29,194.46 Take Profits
2016-09-30 BUY 35.82 (40.83 / 34.03) 2016-10-11 SELL 34.03 -1.79 (-5.00%) 7 days 167.91% $26,791.26 Exit on STOP
2016-07-12 BUY 25.16 (28.68 / 23.90) 2016-08-15 SELL 28.79 3.63 (14.41%) 24 days 182.01% $28,201.33 Take Profits
2016-06-27 SHORT 22.96 (19.75 / 24.11) 2016-06-29 COVER 24.11 1.15 (-5.00%) 2 days 146.50% $24,649.83 Exit on STOP
2016-05-20 BUY 24.22 (27.61 / 23.01) 2016-06-24 SELL 24.72 0.50 (2.06%) 24 days 159.47% $25,947.19 Indicators Changed
2015-10-05 BUY 30.86 (35.19 / 29.32) 2015-11-18 SELL 31.04 0.18 (0.57%) 32 days 154.22% $25,422.37 Indicators Changed
2015-09-08 BUY 31.49 (35.90 / 29.92) 2015-09-22 SELL 29.92 -1.57 (-5.00%) 10 days 152.79% $25,279.04 Exit on STOP
2015-08-27 BUY 31.39 (35.78 / 29.82) 2015-09-04 SELL 30.57 -0.82 (-2.61%) 6 days 166.10% $26,609.51 Indicators Changed
2015-06-26 SHORT 32.36 (27.83 / 33.98) 2015-08-20 COVER 30.80 -1.56 (4.81%) 38 days 173.23% $27,323.28 Indicators Changed
2015-05-06 SHORT 35.39 (30.44 / 37.16) 2015-06-05 COVER 33.94 -1.45 (4.10%) 21 days 160.71% $26,070.51 Indicators Changed
2015-02-11 BUY 39.79 (45.36 / 37.80) 2015-02-12 SELL 37.80 -1.99 (-5.00%) 1 day 150.44% $25,044.39 Exit on STOP
2014-12-30 SHORT 41.56 (35.74 / 43.64) 2015-02-03 COVER 39.26 -2.30 (5.53%) 21 days 163.63% $26,362.52 Indicators Changed
2014-12-18 BUY 42.72 (48.70 / 40.58) 2014-12-29 SELL 41.99 -0.73 (-1.71%) 6 days 149.80% $24,980.08 Indicators Changed
2014-12-01 SHORT 41.98 (36.10 / 44.08) 2014-12-03 COVER 43.13 1.15 (-2.74%) 2 days 154.14% $25,414.36 Indicators Changed
2014-10-01 SHORT 41.33 (35.54 / 43.40) 2014-11-03 COVER 43.40 2.07 (-5.00%) 23 days 161.31% $26,130.81 Exit on STOP
2014-05-21 BUY 34.49 (39.32 / 32.77) 2014-08-05 SELL 38.66 4.17 (12.09%) 52 days 175.06% $27,506.11 Take Profits
2014-02-13 SHORT 41.10 (35.35 / 43.16) 2014-02-28 COVER 40.41 -0.69 (1.68%) 9 days 145.39% $24,539.21 Indicators Changed
2014-01-15 BUY 43.51 (49.60 / 41.33) 2014-01-23 SELL 41.33 -2.18 (-5.00%) 4 days 141.34% $24,134.04 Exit on STOP
2014-01-08 BUY 41.05 (46.80 / 39.00) 2014-01-09 SELL 40.65 -0.40 (-0.97%) 1 day 154.04% $25,404.25 Indicators Changed
2014-01-03 SHORT 40.33 (34.68 / 42.35) 2014-01-07 COVER 40.81 0.48 (-1.20%) 2 days 156.54% $25,654.23 Indicators Changed
2013-12-31 BUY 41.14 (46.90 / 39.08) 2014-01-02 SELL 40.42 -0.72 (-1.75%) 1 day 159.67% $25,966.50 Indicators Changed
2013-11-08 BUY 39.91 (45.50 / 37.91) 2013-12-11 SELL 40.06 0.15 (0.38%) 22 days 164.29% $26,429.04 Indicators Changed
2013-08-08 BUY 42.45 (48.39 / 40.33) 2013-08-15 SELL 40.33 -2.12 (-5.00%) 5 days 163.30% $26,330.08 Exit on STOP
2013-05-06 BUY 35.49 (40.46 / 33.72) 2013-06-19 SELL 39.03 3.54 (9.97%) 31 days 177.16% $27,715.87 Indicators Changed
2013-05-01 SHORT 34.15 (29.37 / 35.86) 2013-05-03 COVER 34.90 0.75 (-2.20%) 2 days 152.02% $25,202.06 Indicators Changed
2013-04-19 SHORT 32.99 (28.37 / 34.64) 2013-04-23 COVER 34.64 1.65 (-5.00%) 2 days 157.68% $25,767.97 Exit on STOP
2013-04-12 BUY 35.46 (40.42 / 33.69) 2013-04-18 SELL 33.69 -1.77 (-5.00%) 4 days 171.24% $27,124.18 Exit on STOP
2013-03-28 BUY 34.16 (38.94 / 32.45) 2013-04-10 SELL 33.62 -0.54 (-1.58%) 8 days 185.52% $28,551.77 Indicators Changed
2013-01-16 BUY 34.23 (39.02 / 32.52) 2013-02-22 SELL 34.38 0.15 (0.44%) 25 days 190.10% $29,010.37 Indicators Changed
2012-11-15 BUY 30.20 (34.43 / 28.69) 2012-12-19 SELL 34.31 4.11 (13.61%) 23 days 188.84% $28,883.79 Take Profits
2012-09-26 SHORT 32.97 (28.35 / 34.62) 2012-10-24 COVER 28.18 -4.79 (14.53%) 20 days 154.24% $25,423.80 Take Profits
2012-07-18 BUY 30.26 (34.50 / 28.75) 2012-08-24 SELL 34.78 4.52 (14.94%) 27 days 121.99% $22,198.69 Take Profits
2012-06-06 BUY 32.07 (36.56 / 30.47) 2012-06-08 SELL 30.47 -1.60 (-5.00%) 2 days 93.14% $19,313.76 Exit on STOP
2012-03-05 SHORT 42.32 (36.40 / 44.44) 2012-03-19 COVER 44.44 2.12 (-5.00%) 10 days 103.30% $20,330.27 Exit on STOP
2012-01-19 BUY 37.51 (42.76 / 35.63) 2012-02-14 SELL 39.12 1.61 (4.29%) 18 days 114.00% $21,400.28 Indicators Changed
2011-08-31 BUY 37.62 (42.89 / 35.74) 2011-09-02 SELL 35.74 -1.88 (-5.00%) 2 days 105.20% $20,519.55 Exit on STOP
2011-07-14 SHORT 49.63 (42.68 / 52.11) 2011-07-19 COVER 51.80 2.17 (-4.37%) 3 days 116.00% $21,599.52 Indicators Changed
2011-06-30 BUY 52.78 (60.17 / 50.14) 2011-07-11 SELL 52.56 -0.22 (-0.42%) 6 days 125.87% $22,587.11 Indicators Changed
2011-05-19 BUY 54.45 (62.07 / 51.73) 2011-05-20 SELL 53.70 -0.75 (-1.38%) 1 day 126.82% $22,681.65 Indicators Changed
2011-04-04 SHORT 45.70 (39.30 / 47.99) 2011-04-13 COVER 47.99 2.29 (-5.00%) 7 days 129.98% $22,998.44 Exit on STOP
2011-02-17 SHORT 54.77 (47.10 / 57.51) 2011-03-10 COVER 48.41 -6.36 (11.61%) 14 days 142.09% $24,208.88 Take Profits
2011-01-20 SHORT 56.22 (48.35 / 59.03) 2011-02-07 COVER 59.03 2.81 (-5.00%) 12 days 116.90% $21,690.18 Exit on STOP
2010-12-01 BUY 52.19 (59.50 / 49.58) 2011-01-12 SELL 58.93 6.74 (12.91%) 29 days 128.32% $22,831.76 Take Profits
2010-09-01 BUY 41.91 (47.78 / 39.81) 2010-09-09 SELL 46.33 4.42 (10.55%) 5 days 102.20% $20,220.43 Take Profits
2010-05-27 BUY 38.17 (43.51 / 36.26) 2010-07-26 SELL 44.03 5.86 (15.35%) 40 days 82.91% $18,291.35 Take Profits
2010-04-01 BUY 34.26 (39.06 / 32.55) 2010-04-27 SELL 34.85 0.59 (1.72%) 17 days 58.57% $15,856.93 Indicators Changed
2010-03-01 BUY 31.46 (35.86 / 29.89) 2010-03-25 SELL 32.62 1.16 (3.69%) 18 days 55.88% $15,588.48 Indicators Changed
2010-01-20 SHORT 32.50 (27.95 / 34.12) 2010-02-11 COVER 31.54 -0.96 (2.95%) 16 days 50.34% $15,034.14 Indicators Changed
2009-11-09 BUY 29.84 (34.02 / 28.35) 2009-12-24 SELL 34.16 4.32 (14.48%) 32 days 46.03% $14,602.79 Take Profits
2009-09-04 BUY 23.33 (26.60 / 22.16) 2009-09-23 SELL 26.27 2.94 (12.60%) 12 days 27.56% $12,756.07 Take Profits
2009-08-28 BUY 23.32 (26.58 / 22.15) 2009-09-01 SELL 22.15 -1.17 (-5.00%) 2 days 13.28% $11,328.48 Exit on STOP
2009-08-12 BUY 23.75 (27.07 / 22.56) 2009-08-17 SELL 22.56 -1.19 (-5.00%) 3 days 19.25% $11,924.71 Exit on STOP
2009-07-13 BUY 20.03 (22.83 / 19.03) 2009-07-23 SELL 23.01 2.98 (14.88%) 8 days 25.52% $12,552.33 Take Profits
2009-06-29 BUY 19.78 (22.55 / 18.79) 2009-07-06 SELL 18.79 -0.99 (-5.00%) 4 days 9.27% $10,926.69 Exit on STOP
2009-05-22 BUY 18.46 (21.04 / 17.54) 2009-06-16 SELL 19.28 0.82 (4.44%) 16 days 15.02% $11,501.78 Indicators Changed
2009-04-08 BUY 16.63 (18.96 / 15.80) 2009-04-22 SELL 18.84 2.21 (13.29%) 9 days 10.13% $11,012.60 Take Profits
2009-04-01 BUY 15.40 (17.56 / 14.63) 2009-04-07 SELL 14.97 -0.43 (-2.79%) 4 days -2.79% $9,720.78 Indicators Changed

 

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

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