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PepsiCo (NYSE:PEP)

NYSE:PEP

Stock Performance

Overall Statistics
Total Trades:   57
Winning Trades:   25
Losing Trades:   32
Success Rate %:   43.86%
Biggest % Gain:   9.36%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 141 days 20.11% $12,010.86
2010 161 days 4.99% $12,610.05
2011 118 days -2.84% $12,251.65
2012 104 days 1.26% $12,405.60
2013 126 days 2.45% $12,709.79
2014 132 days 8.65% $13,808.62
2015 135 days 2.46% $14,148.55
2016 166 days -0.23% $14,116.63
2017 98 days 7.88% $15,228.41
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-07-20 BUY 115.60 (124.85 / 108.66) (Open Position)
2017-06-14 BUY 117.37 (126.76 / 110.33) 2017-07-06 SELL 115.20 -2.17 (-1.85%) 15 days 52.28% $15,228.41 Indicators Changed
2017-01-24 BUY 104.71 (113.09 / 98.43) 2017-04-12 SELL 113.60 8.89 (8.49%) 55 days 55.15% $15,515.27 Take Profits
2017-01-09 SHORT 103.46 (95.18 / 109.67) 2017-01-23 COVER 104.01 0.55 (-0.53%) 9 days 43.01% $14,301.09 Indicators Changed
2016-12-07 BUY 102.81 (111.03 / 96.64) 2017-01-05 SELL 104.71 1.90 (1.85%) 19 days 43.78% $14,377.52 Indicators Changed
2016-11-07 BUY 106.96 (115.52 / 100.54) 2016-11-10 SELL 103.25 -3.71 (-3.47%) 3 days 41.17% $14,116.63 Indicators Changed
2016-10-28 BUY 107.10 (115.67 / 100.67) 2016-11-04 SELL 105.81 -1.29 (-1.20%) 5 days 46.24% $14,623.88 Indicators Changed
2016-10-24 BUY 107.31 (115.89 / 100.87) 2016-10-27 SELL 106.63 -0.68 (-0.63%) 3 days 48.02% $14,802.17 Indicators Changed
2016-10-18 BUY 106.95 (115.51 / 100.53) 2016-10-20 SELL 105.87 -1.08 (-1.01%) 2 days 48.97% $14,896.56 Indicators Changed
2016-09-21 BUY 107.13 (115.70 / 100.70) 2016-10-05 SELL 106.00 -1.13 (-1.05%) 10 days 50.49% $15,048.52 Indicators Changed
2016-06-30 BUY 105.94 (114.42 / 99.58) 2016-07-25 SELL 109.02 3.08 (2.91%) 16 days 52.09% $15,208.95 Indicators Changed
2016-06-06 BUY 102.70 (110.92 / 96.54) 2016-06-24 SELL 101.98 -0.72 (-0.70%) 14 days 47.79% $14,779.27 Indicators Changed
2016-01-29 BUY 99.30 (107.24 / 93.34) 2016-05-17 SELL 102.37 3.07 (3.09%) 75 days 48.84% $14,883.61 Indicators Changed
2015-12-02 SHORT 99.48 (91.52 / 105.45) 2016-01-28 COVER 97.45 -2.03 (2.04%) 38 days 44.37% $14,437.27 Indicators Changed
2015-09-16 BUY 93.07 (100.52 / 87.49) 2015-10-21 SELL 100.25 7.18 (7.71%) 25 days 41.49% $14,148.55 Take Profits
2015-08-03 BUY 97.45 (105.25 / 91.60) 2015-08-20 SELL 97.98 0.53 (0.54%) 13 days 31.35% $13,135.22 Indicators Changed
2015-06-30 SHORT 93.34 (85.87 / 98.94) 2015-07-07 COVER 96.40 3.06 (-3.28%) 4 days 30.64% $13,064.16 Indicators Changed
2015-05-04 BUY 95.95 (103.63 / 90.19) 2015-05-26 SELL 95.79 -0.16 (-0.17%) 15 days 35.07% $13,506.97 Indicators Changed
2015-03-30 BUY 96.52 (104.24 / 90.73) 2015-04-28 SELL 94.42 -2.10 (-2.18%) 20 days 35.30% $13,529.53 Indicators Changed
2015-02-04 BUY 96.60 (104.33 / 90.80) 2015-03-09 SELL 96.04 -0.56 (-0.58%) 22 days 38.30% $13,830.44 Indicators Changed
2015-01-08 BUY 97.48 (105.28 / 91.63) 2015-01-28 SELL 95.72 -1.76 (-1.81%) 13 days 39.11% $13,911.08 Indicators Changed
2014-12-03 SHORT 98.29 (90.43 / 104.19) 2015-01-07 COVER 95.74 -2.55 (2.59%) 23 days 41.67% $14,166.87 Indicators Changed
2014-10-20 BUY 93.55 (101.03 / 87.94) 2014-12-01 SELL 99.67 6.12 (6.54%) 29 days 38.09% $13,808.62 Indicators Changed
2014-09-18 BUY 93.37 (100.84 / 87.77) 2014-10-14 SELL 93.01 -0.36 (-0.39%) 18 days 29.61% $12,960.73 Indicators Changed
2014-08-11 BUY 91.79 (99.13 / 86.28) 2014-09-04 SELL 91.85 0.06 (0.07%) 17 days 30.11% $13,010.90 Indicators Changed
2014-07-23 BUY 90.82 (98.09 / 85.37) 2014-08-01 SELL 88.11 -2.71 (-2.98%) 7 days 30.02% $13,002.40 Indicators Changed
2014-07-02 BUY 89.67 (96.84 / 84.29) 2014-07-17 SELL 89.99 0.32 (0.36%) 10 days 34.02% $13,402.32 Indicators Changed
2014-06-19 BUY 90.10 (97.31 / 84.69) 2014-06-24 SELL 88.05 -2.05 (-2.28%) 3 days 33.55% $13,354.66 Indicators Changed
2014-03-04 BUY 80.85 (87.32 / 76.00) 2014-05-12 SELL 86.93 6.08 (7.52%) 48 days 36.66% $13,665.58 Take Profits
2013-09-16 BUY 81.02 (87.50 / 76.16) 2013-12-05 SELL 81.90 0.88 (1.09%) 57 days 27.10% $12,709.79 Indicators Changed
2013-05-23 SHORT 82.12 (75.55 / 87.05) 2013-07-18 COVER 87.05 4.93 (-6.00%) 38 days 25.73% $12,573.23 Exit on STOP
2013-04-19 BUY 82.77 (89.39 / 77.80) 2013-04-24 SELL 82.34 -0.43 (-0.52%) 3 days 33.76% $13,375.78 Indicators Changed
2013-01-08 BUY 69.66 (75.23 / 65.48) 2013-02-19 SELL 75.50 5.84 (8.38%) 28 days 34.46% $13,445.63 Take Profits
2012-10-11 SHORT 69.82 (64.23 / 74.01) 2012-11-06 COVER 69.35 -0.47 (0.67%) 16 days 24.06% $12,405.60 Indicators Changed
2012-07-25 BUY 70.30 (75.92 / 66.08) 2012-08-22 SELL 72.89 2.59 (3.68%) 20 days 23.23% $12,322.64 Indicators Changed
2012-06-27 BUY 69.75 (75.33 / 65.56) 2012-07-24 SELL 68.79 -0.96 (-1.38%) 18 days 18.85% $11,884.78 Indicators Changed
2012-04-17 BUY 66.40 (71.71 / 62.42) 2012-05-04 SELL 65.90 -0.50 (-0.75%) 13 days 20.51% $12,050.64 Indicators Changed
2011-12-15 BUY 64.85 (70.04 / 60.96) 2012-02-09 SELL 64.27 -0.58 (-0.89%) 37 days 21.42% $12,142.07 Indicators Changed
2011-09-26 BUY 61.89 (66.84 / 58.18) 2011-11-23 SELL 62.40 0.51 (0.82%) 42 days 22.52% $12,251.65 Indicators Changed
2011-09-16 BUY 62.05 (67.01 / 58.33) 2011-09-19 SELL 60.56 -1.49 (-2.40%) 1 day 21.52% $12,151.52 Indicators Changed
2011-08-29 BUY 64.16 (69.29 / 60.31) 2011-09-09 SELL 60.31 -3.85 (-6.00%) 8 days 24.50% $12,450.49 Exit on STOP
2011-06-29 BUY 69.96 (75.56 / 65.76) 2011-07-14 SELL 68.60 -1.36 (-1.94%) 10 days 32.45% $13,245.20 Indicators Changed
2011-03-03 BUY 63.75 (68.85 / 59.92) 2011-04-28 SELL 69.72 5.97 (9.36%) 39 days 35.08% $13,507.79 Take Profits
2011-01-03 BUY 65.75 (71.01 / 61.80) 2011-01-28 SELL 64.40 -1.35 (-2.05%) 18 days 23.51% $12,351.14 Indicators Changed
2010-12-01 BUY 65.63 (70.88 / 61.69) 2010-12-30 SELL 65.12 -0.51 (-0.78%) 20 days 26.10% $12,610.05 Indicators Changed
2010-11-02 BUY 65.80 (71.06 / 61.85) 2010-11-03 SELL 65.20 -0.60 (-0.91%) 1 day 27.09% $12,708.81 Indicators Changed
2010-10-19 SHORT 65.41 (60.18 / 69.33) 2010-11-01 COVER 65.55 0.14 (-0.21%) 9 days 28.26% $12,825.76 Indicators Changed
2010-07-07 BUY 62.93 (67.96 / 59.15) 2010-10-06 SELL 68.11 5.18 (8.23%) 64 days 28.53% $12,853.27 Take Profits
2010-06-10 BUY 63.84 (68.95 / 60.01) 2010-06-25 SELL 60.77 -3.07 (-4.81%) 11 days 18.76% $11,875.74 Indicators Changed
2010-05-10 BUY 66.41 (71.72 / 62.43) 2010-05-20 SELL 63.86 -2.55 (-3.84%) 8 days 24.76% $12,475.68 Indicators Changed
2010-01-04 BUY 61.24 (66.14 / 57.57) 2010-03-15 SELL 66.15 4.91 (8.02%) 48 days 29.74% $12,973.85 Take Profits
2009-10-02 BUY 60.90 (65.77 / 57.25) 2009-12-09 SELL 61.80 0.90 (1.48%) 47 days 20.11% $12,010.86 Indicators Changed
2009-08-13 SHORT 56.49 (51.97 / 59.88) 2009-09-18 COVER 59.88 3.39 (-6.00%) 25 days 18.36% $11,835.95 Exit on STOP
2009-06-18 BUY 54.49 (58.85 / 51.22) 2009-08-04 SELL 59.06 4.57 (8.39%) 32 days 25.91% $12,591.43 Take Profits
2009-05-28 BUY 51.02 (55.10 / 47.96) 2009-06-02 SELL 55.37 4.35 (8.53%) 3 days 16.17% $11,617.12 Take Profits
2009-05-14 BUY 50.87 (54.94 / 47.82) 2009-05-27 SELL 50.01 -0.86 (-1.69%) 8 days 7.04% $10,704.45 Indicators Changed
2009-04-14 SHORT 50.56 (46.52 / 53.59) 2009-05-13 COVER 49.66 -0.90 (1.78%) 21 days 8.89% $10,888.53 Indicators Changed
2009-02-26 SHORT 49.42 (45.47 / 52.39) 2009-03-05 COVER 45.97 -3.45 (6.98%) 5 days 6.98% $10,698.10 Take Profits

 

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

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