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OfficeMax Inc. (NYSE:OMX)

NYSE:OMX

Stock Performance

Overall Statistics
Total Trades:   43
Winning Trades:   24
Losing Trades:   19
Success Rate %:   55.81%
Biggest % Gain:   29.89%
Biggest % Loss   -11.00%
 
Year Days In % Gain Account
$10,000.00
2009 34 days 37.55% $13,754.50
2010 80 days 37.31% $18,885.83
2011 63 days -24.45% $14,268.51
2012 81 days 62.03% $23,119.60
2013 66 days 14.36% $26,439.47
2014 0 days 0.00% $26,439.47
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2014-04-14 SHORT 0.00 (0.00 / 0.00) (Open Position)
2013-10-10 BUY 13.26 (14.59 / 11.80) 2013-10-16 SELL 14.43 1.17 (8.82%) 4 days 164.39% $26,439.47 Take Profits
2013-08-06 SHORT 11.22 (10.10 / 12.45) 2013-09-04 COVER 11.25 0.03 (-0.27%) 20 days 142.96% $24,295.73 Indicators Changed
2013-06-10 SHORT 11.23 (10.11 / 12.47) 2013-06-24 COVER 10.17 -1.06 (9.44%) 10 days 143.61% $24,360.87 Take Profits
2013-05-10 BUY 11.62 (12.78 / 10.34) 2013-05-24 SELL 12.71 1.09 (9.38%) 10 days 122.60% $22,259.77 Take Profits
2013-04-30 BUY 11.51 (12.66 / 10.24) 2013-05-09 SELL 11.38 -0.13 (-1.13%) 7 days 103.51% $20,350.79 Indicators Changed
2013-04-11 BUY 11.85 (13.04 / 10.55) 2013-04-15 SELL 11.21 -0.64 (-5.40%) 2 days 105.83% $20,583.27 Indicators Changed
2013-02-19 BUY 13.00 (14.30 / 11.57) 2013-02-20 SELL 11.57 -1.43 (-11.00%) 1 day 117.58% $21,758.40 Exit on STOP
2013-02-05 BUY 11.20 (12.32 / 9.97) 2013-02-07 SELL 10.72 -0.48 (-4.29%) 2 days 144.48% $24,447.64 Indicators Changed
2013-01-04 BUY 10.02 (11.02 / 8.92) 2013-01-18 SELL 11.07 1.05 (10.48%) 10 days 155.42% $25,542.31 Take Profits
2012-11-06 BUY 8.33 (9.16 / 7.41) 2012-11-16 SELL 9.22 0.89 (10.68%) 8 days 131.20% $23,119.60 Take Profits
2012-08-02 BUY 4.99 (5.49 / 4.44) 2012-08-17 SELL 5.64 0.65 (13.03%) 11 days 108.88% $20,887.88 Take Profits
2012-07-12 SHORT 4.72 (4.25 / 5.24) 2012-07-26 COVER 4.29 -0.43 (9.11%) 10 days 84.81% $18,480.59 Take Profits
2012-06-19 BUY 4.62 (5.08 / 4.11) 2012-06-29 SELL 5.06 0.44 (9.52%) 8 days 69.38% $16,937.55 Take Profits
2012-05-09 BUY 5.05 (5.55 / 4.49) 2012-06-01 SELL 4.49 -0.56 (-11.00%) 16 days 54.65% $15,464.72 Exit on STOP
2012-04-04 SHORT 5.50 (4.95 / 6.11) 2012-04-12 COVER 4.95 -0.55 (10.00%) 5 days 73.76% $17,376.09 Take Profits
2012-03-15 BUY 5.50 (6.05 / 4.90) 2012-03-26 SELL 6.23 0.73 (13.27%) 7 days 57.96% $15,796.45 Take Profits
2012-02-23 BUY 6.04 (6.64 / 5.38) 2012-03-02 SELL 5.38 -0.66 (-11.00%) 6 days 39.45% $13,945.50 Exit on STOP
2012-01-03 BUY 4.89 (5.38 / 4.35) 2012-01-18 SELL 5.37 0.48 (9.82%) 10 days 56.69% $15,669.10 Take Profits
2011-12-22 BUY 4.57 (5.03 / 4.07) 2011-12-29 SELL 4.34 -0.23 (-5.03%) 4 days 42.69% $14,268.51 Indicators Changed
2011-11-17 SHORT 4.65 (4.19 / 5.16) 2011-11-25 COVER 4.09 -0.56 (12.04%) 5 days 50.25% $15,024.68 Take Profits
2011-11-10 BUY 5.19 (5.71 / 4.62) 2011-11-14 SELL 5.51 0.32 (6.17%) 2 days 34.10% $13,409.74 Take Profits
2011-10-10 BUY 4.82 (5.30 / 4.29) 2011-10-21 SELL 5.31 0.49 (10.17%) 9 days 26.31% $12,630.95 Take Profits
2011-08-29 BUY 6.18 (6.80 / 5.50) 2011-09-02 SELL 5.50 -0.68 (-11.00%) 4 days 14.65% $11,465.38 Exit on STOP
2011-08-02 BUY 7.56 (8.32 / 6.73) 2011-08-08 SELL 6.73 -0.83 (-11.00%) 4 days 28.82% $12,882.45 Exit on STOP
2011-07-14 SHORT 7.04 (6.34 / 7.81) 2011-07-26 COVER 7.64 0.60 (-8.52%) 8 days 44.75% $14,474.67 Indicators Changed
2011-04-21 BUY 12.89 (14.18 / 11.47) 2011-04-28 SELL 11.47 -1.42 (-11.00%) 4 days 58.23% $15,823.24 Exit on STOP
2011-02-11 BUY 17.00 (18.70 / 15.13) 2011-02-16 SELL 15.35 -1.65 (-9.71%) 3 days 77.79% $17,778.92 Indicators Changed
2011-01-07 SHORT 17.56 (15.80 / 19.49) 2011-02-02 COVER 15.90 -1.66 (9.45%) 17 days 96.90% $19,690.01 Take Profits
2011-01-03 BUY 18.54 (20.39 / 16.50) 2011-01-06 SELL 17.66 -0.88 (-4.75%) 3 days 79.89% $17,989.41 Indicators Changed
2010-10-28 BUY 17.10 (18.81 / 15.22) 2010-12-06 SELL 18.74 1.64 (9.59%) 26 days 88.86% $18,885.83 Take Profits
2010-09-02 BUY 11.31 (12.44 / 10.07) 2010-09-14 SELL 12.61 1.30 (11.49%) 7 days 72.33% $17,233.07 Take Profits
2010-06-21 SHORT 15.71 (14.14 / 17.44) 2010-06-29 COVER 13.66 -2.05 (13.05%) 6 days 54.56% $15,456.46 Take Profits
2010-06-04 SHORT 16.16 (14.54 / 17.94) 2010-06-15 COVER 17.66 1.50 (-9.28%) 7 days 36.72% $13,672.36 Indicators Changed
2010-05-19 SHORT 17.12 (15.41 / 19.00) 2010-06-03 COVER 18.11 0.99 (-5.78%) 10 days 50.71% $15,071.30 Indicators Changed
2010-04-26 BUY 17.48 (19.23 / 15.56) 2010-04-30 SELL 19.00 1.52 (8.70%) 4 days 59.96% $15,996.32 Take Profits
2010-04-14 BUY 17.01 (18.71 / 15.14) 2010-04-19 SELL 15.14 -1.87 (-11.00%) 3 days 47.17% $14,716.62 Exit on STOP
2010-02-01 BUY 13.69 (15.06 / 12.18) 2010-02-17 SELL 15.08 1.39 (10.15%) 11 days 65.36% $16,535.52 Take Profits
2010-01-07 BUY 13.57 (14.93 / 12.08) 2010-01-15 SELL 14.81 1.24 (9.14%) 6 days 50.11% $15,011.36 Take Profits
2009-12-04 BUY 12.69 (13.96 / 11.29) 2009-12-30 SELL 12.97 0.28 (2.21%) 17 days 37.55% $13,754.50 Indicators Changed
2009-11-09 BUY 12.41 (13.65 / 11.04) 2009-11-18 SELL 11.77 -0.64 (-5.16%) 7 days 34.58% $13,457.56 Indicators Changed
2009-10-09 BUY 13.59 (14.95 / 12.10) 2009-10-16 SELL 13.08 -0.51 (-3.75%) 5 days 41.89% $14,189.33 Indicators Changed
2009-07-14 BUY 6.22 (6.84 / 5.54) 2009-07-20 SELL 7.06 0.84 (13.50%) 4 days 47.43% $14,742.58 Take Profits
2009-04-08 BUY 3.48 (3.83 / 3.10) 2009-04-09 SELL 4.52 1.04 (29.89%) 1 day 29.89% $12,988.51 Take Profits

 

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

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