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

Sprint Nextel Corp. (NYSE:S)

NYSE:S

Stock Performance

Overall Statistics
Total Trades:   57
Winning Trades:   31
Losing Trades:   26
Success Rate %:   54.39%
Biggest % Gain:   27.25%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 53 days 46.99% $14,699.31
2010 98 days 30.63% $19,201.43
2011 120 days 16.26% $22,322.86
2012 67 days 28.18% $28,614.48
2013 123 days 29.13% $36,951.11
2014 70 days 35.18% $49,950.76
2015 66 days -0.47% $49,713.97
2016 71 days 1.34% $50,377.96
2017 31 days -11.51% $44,578.31
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-04-18 BUY 8.51 (9.70 / 7.48) 2017-05-03 SELL 7.76 -0.75 (-8.70%) 11 days 345.78% $44,578.31 Indicators Changed
2017-03-29 BUY 8.49 (9.68 / 7.47) 2017-04-12 SELL 8.34 -0.15 (-1.83%) 10 days 388.27% $48,826.60 Indicators Changed
2017-02-01 SHORT 9.01 (7.74 / 10.09) 2017-02-15 COVER 9.12 0.11 (-1.28%) 10 days 397.35% $49,734.60 Indicators Changed
2016-11-09 BUY 7.11 (8.11 / 6.26) 2016-11-30 SELL 7.84 0.73 (10.34%) 14 days 403.78% $50,377.96 Take Profits
2016-10-14 BUY 7.03 (8.01 / 6.19) 2016-10-25 SELL 6.50 -0.53 (-7.54%) 7 days 356.58% $45,658.03 Indicators Changed
2016-07-19 SHORT 4.50 (3.87 / 5.05) 2016-07-25 COVER 5.05 0.55 (-12.00%) 4 days 393.81% $49,380.92 Exit on STOP
2016-06-20 BUY 3.86 (4.40 / 3.40) 2016-06-22 SELL 4.38 0.52 (13.47%) 2 days 461.15% $56,114.68 Take Profits
2016-05-04 SHORT 3.47 (2.98 / 3.89) 2016-06-03 COVER 3.78 0.31 (-8.93%) 21 days 394.53% $49,452.66 Indicators Changed
2016-04-06 BUY 3.59 (4.09 / 3.16) 2016-04-29 SELL 3.43 -0.16 (-4.46%) 17 days 443.04% $54,304.03 Indicators Changed
2016-01-07 SHORT 3.35 (2.88 / 3.75) 2016-01-15 COVER 2.87 -0.48 (14.33%) 6 days 468.37% $56,837.17 Take Profits
2015-11-09 SHORT 4.28 (3.68 / 4.79) 2015-11-30 COVER 3.65 -0.63 (14.72%) 14 days 397.14% $49,713.97 Take Profits
2015-11-05 BUY 4.68 (5.34 / 4.12) 2015-11-06 SELL 4.53 -0.15 (-3.21%) 1 day 333.35% $43,335.19 Indicators Changed
2015-10-07 BUY 4.59 (5.23 / 4.04) 2015-11-03 SELL 4.51 -0.08 (-1.74%) 19 days 347.70% $44,770.13 Indicators Changed
2015-06-12 BUY 4.63 (5.28 / 4.07) 2015-07-02 SELL 4.48 -0.15 (-3.24%) 14 days 355.64% $45,564.28 Indicators Changed
2015-06-03 BUY 4.75 (5.42 / 4.18) 2015-06-04 SELL 4.46 -0.29 (-6.11%) 1 day 370.90% $47,089.87 Indicators Changed
2015-04-10 BUY 4.97 (5.67 / 4.37) 2015-05-05 SELL 4.99 0.02 (0.40%) 17 days 401.52% $50,151.77 Indicators Changed
2014-10-21 BUY 6.24 (7.11 / 5.49) 2014-11-04 SELL 5.49 -0.75 (-12.00%) 10 days 399.51% $49,950.76 Exit on STOP
2014-09-10 BUY 6.15 (7.01 / 5.41) 2014-09-12 SELL 7.00 0.85 (13.82%) 2 days 467.62% $56,762.23 Take Profits
2014-07-15 SHORT 8.11 (6.97 / 9.08) 2014-08-06 COVER 5.90 -2.21 (27.25%) 16 days 398.70% $49,869.67 Take Profits
2014-05-01 BUY 8.73 (9.95 / 7.68) 2014-05-22 SELL 9.06 0.33 (3.78%) 15 days 291.90% $39,190.21 Indicators Changed
2014-02-27 BUY 8.65 (9.86 / 7.61) 2014-04-07 SELL 8.84 0.19 (2.20%) 27 days 277.63% $37,762.76 Indicators Changed
2013-10-09 SHORT 6.00 (5.16 / 6.72) 2013-10-16 COVER 6.30 0.30 (-5.00%) 5 days 269.51% $36,951.11 Indicators Changed
2013-09-05 SHORT 6.48 (5.57 / 7.26) 2013-10-02 COVER 6.35 -0.13 (2.01%) 19 days 288.96% $38,895.91 Indicators Changed
2013-06-17 SHORT 7.22 (6.21 / 8.09) 2013-07-17 COVER 6.25 -0.97 (13.43%) 20 days 281.31% $38,130.94 Take Profits
2013-03-19 BUY 6.03 (6.87 / 5.31) 2013-04-15 SELL 7.06 1.03 (17.08%) 18 days 236.15% $33,614.82 Take Profits
2013-02-06 BUY 5.77 (6.58 / 5.08) 2013-03-15 SELL 5.81 0.04 (0.69%) 26 days 187.11% $28,710.67 Indicators Changed
2012-11-23 BUY 5.64 (6.43 / 4.96) 2013-01-15 SELL 5.62 -0.02 (-0.35%) 35 days 185.13% $28,513.01 Indicators Changed
2012-10-11 BUY 5.76 (6.57 / 5.07) 2012-10-19 SELL 5.65 -0.11 (-1.91%) 6 days 186.14% $28,614.48 Indicators Changed
2012-09-19 BUY 5.56 (6.34 / 4.89) 2012-09-26 SELL 5.46 -0.10 (-1.80%) 5 days 191.72% $29,171.58 Indicators Changed
2012-07-26 BUY 4.05 (4.62 / 3.56) 2012-08-08 SELL 4.61 0.56 (13.83%) 9 days 197.06% $29,705.85 Take Profits
2012-06-06 BUY 2.72 (3.10 / 2.39) 2012-06-14 SELL 3.10 0.38 (13.97%) 6 days 160.97% $26,097.33 Take Profits
2012-05-04 SHORT 2.36 (2.03 / 2.64) 2012-05-22 COVER 2.41 0.05 (-2.12%) 12 days 128.98% $22,898.31 Indicators Changed
2012-02-06 BUY 2.46 (2.80 / 2.16) 2012-03-09 SELL 2.78 0.32 (13.01%) 23 days 133.94% $23,393.94 Take Profits
2012-01-19 BUY 2.34 (2.67 / 2.06) 2012-01-27 SELL 2.17 -0.17 (-7.26%) 6 days 107.01% $20,701.11 Indicators Changed
2011-12-01 BUY 2.70 (3.08 / 2.38) 2011-12-08 SELL 2.44 -0.26 (-9.63%) 5 days 123.23% $22,322.86 Indicators Changed
2011-07-18 SHORT 5.19 (4.46 / 5.81) 2011-07-28 COVER 4.34 -0.85 (16.38%) 8 days 147.02% $24,701.52 Take Profits
2011-06-06 SHORT 5.60 (4.82 / 6.27) 2011-07-01 COVER 5.43 -0.17 (3.04%) 19 days 112.25% $21,225.32 Indicators Changed
2011-05-19 BUY 5.33 (6.08 / 4.69) 2011-06-02 SELL 5.93 0.60 (11.26%) 9 days 106.00% $20,599.96 Take Profits
2011-04-28 BUY 5.11 (5.83 / 4.50) 2011-05-13 SELL 5.10 -0.01 (-0.20%) 11 days 85.16% $18,515.65 Indicators Changed
2011-03-21 SHORT 4.36 (3.75 / 4.88) 2011-04-14 COVER 4.88 0.52 (-12.00%) 18 days 85.52% $18,551.95 Exit on STOP
2011-02-01 SHORT 4.39 (3.78 / 4.92) 2011-03-07 COVER 4.48 0.09 (-2.05%) 23 days 110.82% $21,081.76 Indicators Changed
2010-11-24 BUY 3.97 (4.53 / 3.49) 2011-01-04 SELL 4.45 0.48 (12.09%) 27 days 115.23% $21,523.01 Take Profits
2010-10-13 BUY 4.63 (5.28 / 4.07) 2010-10-27 SELL 4.30 -0.33 (-7.13%) 10 days 92.01% $19,201.43 Indicators Changed
2010-09-24 BUY 4.44 (5.06 / 3.91) 2010-10-07 SELL 4.54 0.10 (2.25%) 9 days 106.75% $20,675.02 Indicators Changed
2010-08-03 SHORT 4.54 (3.90 / 5.08) 2010-08-25 COVER 3.96 -0.58 (12.78%) 16 days 102.20% $20,219.63 Take Profits
2010-07-12 BUY 4.50 (5.13 / 3.96) 2010-07-30 SELL 4.57 0.07 (1.56%) 14 days 79.29% $17,929.12 Indicators Changed
2010-04-28 BUY 4.26 (4.86 / 3.75) 2010-05-24 SELL 4.79 0.53 (12.44%) 18 days 76.54% $17,654.50 Take Profits
2010-02-19 BUY 3.49 (3.98 / 3.07) 2010-03-24 SELL 3.94 0.45 (12.89%) 23 days 57.01% $15,701.08 Take Profits
2010-01-04 BUY 3.90 (4.45 / 3.43) 2010-01-14 SELL 3.69 -0.21 (-5.38%) 8 days 39.08% $13,907.81 Indicators Changed
2009-11-09 BUY 3.43 (3.91 / 3.02) 2009-11-18 SELL 3.95 0.52 (15.16%) 7 days 46.99% $14,699.31 Take Profits
2009-09-18 BUY 4.28 (4.88 / 3.77) 2009-10-01 SELL 3.77 -0.51 (-12.00%) 9 days 27.64% $12,764.21 Exit on STOP
2009-09-04 BUY 3.81 (4.34 / 3.35) 2009-09-14 SELL 4.15 0.34 (8.92%) 5 days 45.05% $14,504.78 Take Profits
2009-07-16 BUY 4.66 (5.31 / 4.10) 2009-07-29 SELL 4.10 -0.56 (-12.00%) 9 days 33.16% $13,316.44 Exit on STOP
2009-06-22 SHORT 4.83 (4.15 / 5.41) 2009-07-15 COVER 4.63 -0.20 (4.14%) 16 days 51.32% $15,132.32 Indicators Changed
2009-04-01 BUY 3.97 (4.53 / 3.49) 2009-04-02 SELL 4.28 0.31 (7.81%) 1 day 45.31% $14,530.64 Take Profits
2009-03-10 BUY 3.54 (4.04 / 3.12) 2009-03-13 SELL 4.14 0.60 (16.95%) 3 days 34.78% $13,478.18 Take Profits
2009-02-13 BUY 2.82 (3.21 / 2.48) 2009-02-19 SELL 3.25 0.43 (15.25%) 3 days 15.25% $11,524.82 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.