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Schlumberger (NYSE:SLB)

NYSE:SLB

Stock Performance

Overall Statistics
Total Trades:   53
Winning Trades:   24
Losing Trades:   29
Success Rate %:   45.28%
Biggest % Gain:   15.23%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 81 days 9.15% $10,915.32
2010 126 days 48.02% $16,156.73
2011 137 days 20.49% $19,466.90
2012 87 days 5.11% $20,460.98
2013 115 days 11.40% $22,792.53
2014 110 days 4.44% $23,805.63
2015 191 days 36.38% $32,465.57
2016 124 days -1.08% $32,113.50
2017 60 days -23.46% $24,580.20
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-07-03 BUY 66.97 (75.01 / 58.93) 2017-08-10 SELL 64.39 -2.58 (-3.85%) 27 days 145.80% $24,580.20 Indicators Changed
2017-06-09 BUY 69.68 (78.04 / 61.32) 2017-06-20 SELL 66.74 -2.94 (-4.22%) 7 days 155.63% $25,563.10 Indicators Changed
2017-05-10 BUY 72.67 (81.39 / 63.95) 2017-05-30 SELL 68.74 -3.93 (-5.41%) 13 days 166.89% $26,689.19 Indicators Changed
2017-04-11 BUY 79.65 (89.21 / 70.09) 2017-04-19 SELL 76.48 -3.17 (-3.98%) 5 days 182.15% $28,215.07 Indicators Changed
2017-03-01 BUY 82.27 (92.14 / 72.40) 2017-03-08 SELL 78.10 -4.17 (-5.07%) 5 days 193.85% $29,384.55 Indicators Changed
2017-01-18 BUY 87.48 (97.98 / 76.98) 2017-01-23 SELL 84.32 -3.16 (-3.61%) 3 days 209.53% $30,953.48 Indicators Changed
2016-11-30 BUY 84.05 (94.14 / 73.96) 2016-12-23 SELL 85.51 1.46 (1.74%) 17 days 221.13% $32,113.50 Indicators Changed
2016-10-26 SHORT 80.02 (70.42 / 89.62) 2016-11-15 COVER 81.16 1.14 (-1.42%) 14 days 215.65% $31,565.19 Indicators Changed
2016-07-01 BUY 79.52 (89.06 / 69.98) 2016-09-06 SELL 78.78 -0.74 (-0.93%) 45 days 220.21% $32,021.38 Indicators Changed
2016-05-25 BUY 77.91 (87.26 / 68.56) 2016-06-24 SELL 76.66 -1.25 (-1.60%) 21 days 223.22% $32,322.17 Indicators Changed
2016-04-08 BUY 73.85 (82.71 / 64.99) 2016-05-03 SELL 77.23 3.38 (4.58%) 17 days 228.49% $32,849.21 Indicators Changed
2016-03-17 BUY 74.54 (83.48 / 65.60) 2016-04-01 SELL 72.12 -2.42 (-3.25%) 10 days 214.12% $31,411.55 Indicators Changed
2015-11-12 SHORT 76.60 (67.41 / 85.79) 2015-12-18 COVER 67.34 -9.26 (12.09%) 25 days 224.66% $32,465.57 Take Profits
2015-10-05 BUY 72.09 (80.74 / 63.44) 2015-11-03 SELL 81.52 9.43 (13.08%) 21 days 189.64% $28,964.16 Take Profits
2015-09-16 BUY 76.16 (85.30 / 67.02) 2015-09-29 SELL 69.10 -7.06 (-9.27%) 9 days 156.14% $25,613.67 Indicators Changed
2015-05-19 SHORT 90.56 (79.69 / 101.43) 2015-08-20 COVER 79.44 -11.12 (12.28%) 65 days 182.31% $28,230.63 Take Profits
2015-01-21 BUY 82.21 (92.08 / 72.34) 2015-04-16 SELL 91.89 9.68 (11.77%) 59 days 151.43% $25,143.26 Take Profits
2014-12-19 BUY 87.52 (98.02 / 77.02) 2015-01-08 SELL 82.70 -4.82 (-5.51%) 12 days 124.95% $22,494.58 Indicators Changed
2014-11-26 SHORT 92.81 (81.67 / 103.95) 2014-12-12 COVER 80.00 -12.81 (13.80%) 11 days 138.06% $23,805.63 Take Profits
2014-10-21 BUY 97.75 (109.48 / 86.02) 2014-11-25 SELL 95.20 -2.55 (-2.61%) 25 days 109.18% $20,918.39 Indicators Changed
2014-08-25 BUY 110.22 (123.45 / 96.99) 2014-09-05 SELL 106.76 -3.46 (-3.14%) 8 days 114.79% $21,478.71 Indicators Changed
2014-02-11 BUY 90.37 (101.21 / 79.53) 2014-04-17 SELL 99.91 9.54 (10.56%) 45 days 121.75% $22,174.81 Take Profits
2013-12-24 BUY 88.31 (98.91 / 77.71) 2014-02-04 SELL 77.71 -10.60 (-12.00%) 21 days 100.57% $20,057.43 Exit on STOP
2013-10-16 BUY 92.18 (103.24 / 81.12) 2013-11-29 SELL 88.42 -3.76 (-4.08%) 31 days 127.93% $22,792.53 Indicators Changed
2013-08-28 BUY 82.68 (92.60 / 72.76) 2013-09-30 SELL 88.45 5.77 (6.98%) 22 days 137.62% $23,761.77 Indicators Changed
2013-05-23 SHORT 75.38 (66.33 / 84.43) 2013-07-01 COVER 72.78 -2.60 (3.45%) 26 days 122.12% $22,211.68 Indicators Changed
2013-02-14 BUY 81.56 (91.35 / 71.77) 2013-03-18 SELL 76.34 -5.22 (-6.40%) 21 days 114.71% $21,471.10 Indicators Changed
2013-01-03 BUY 70.92 (79.43 / 62.41) 2013-01-25 SELL 79.51 8.59 (12.11%) 15 days 129.39% $22,939.26 Take Profits
2012-12-21 SHORT 69.69 (61.33 / 78.05) 2013-01-02 COVER 71.40 1.71 (-2.45%) 6 days 104.61% $20,460.98 Indicators Changed
2012-11-19 BUY 70.69 (79.17 / 62.21) 2012-12-14 SELL 68.91 -1.78 (-2.52%) 18 days 109.76% $20,975.66 Indicators Changed
2012-10-16 BUY 73.52 (82.34 / 64.70) 2012-10-25 SELL 70.74 -2.78 (-3.78%) 7 days 115.17% $21,517.48 Indicators Changed
2012-09-12 BUY 74.32 (83.24 / 65.40) 2012-09-24 SELL 74.26 -0.06 (-0.08%) 8 days 123.63% $22,363.09 Indicators Changed
2012-06-29 BUY 64.91 (72.70 / 57.12) 2012-07-27 SELL 72.96 8.05 (12.40%) 19 days 123.81% $22,381.16 Take Profits
2012-03-16 BUY 76.76 (85.97 / 67.55) 2012-03-27 SELL 69.96 -6.80 (-8.86%) 7 days 99.12% $19,911.75 Indicators Changed
2012-01-03 BUY 70.09 (78.50 / 61.68) 2012-02-03 SELL 78.66 8.57 (12.23%) 22 days 118.47% $21,847.14 Take Profits
2011-11-30 BUY 75.33 (84.37 / 66.29) 2011-12-12 SELL 71.92 -3.41 (-4.53%) 8 days 94.67% $19,466.90 Indicators Changed
2011-11-17 SHORT 71.71 (63.10 / 80.32) 2011-11-28 COVER 69.22 -2.49 (3.47%) 6 days 103.90% $20,389.89 Indicators Changed
2011-06-28 BUY 84.35 (94.47 / 74.23) 2011-07-25 SELL 94.70 10.35 (12.27%) 18 days 97.06% $19,705.65 Take Profits
2011-05-03 SHORT 85.85 (75.55 / 96.15) 2011-06-22 COVER 83.58 -2.27 (2.64%) 35 days 75.52% $17,551.97 Indicators Changed
2011-04-12 SHORT 86.24 (75.89 / 96.59) 2011-04-26 COVER 89.47 3.23 (-3.75%) 9 days 71.00% $17,099.83 Indicators Changed
2011-03-21 BUY 89.73 (100.50 / 78.96) 2011-04-11 SELL 88.80 -0.93 (-1.04%) 15 days 77.65% $17,765.20 Indicators Changed
2010-12-01 BUY 80.85 (90.55 / 71.15) 2011-02-07 SELL 89.83 8.98 (11.11%) 46 days 79.51% $17,951.25 Take Profits
2010-10-22 BUY 67.77 (75.90 / 59.64) 2010-11-05 SELL 75.66 7.89 (11.64%) 10 days 61.57% $16,156.73 Take Profits
2010-09-08 BUY 58.34 (65.34 / 51.34) 2010-10-18 SELL 64.51 6.17 (10.58%) 28 days 44.72% $14,471.87 Take Profits
2010-07-08 BUY 58.54 (65.56 / 51.52) 2010-08-12 SELL 59.30 0.76 (1.30%) 25 days 30.88% $13,087.72 Indicators Changed
2010-05-05 SHORT 67.30 (59.22 / 75.38) 2010-05-20 COVER 59.22 -8.08 (12.01%) 11 days 29.20% $12,919.98 Take Profits
2010-02-17 BUY 65.43 (73.28 / 57.58) 2010-04-29 SELL 73.15 7.72 (11.80%) 50 days 15.35% $11,535.09 Take Profits
2010-02-02 BUY 66.12 (74.05 / 58.19) 2010-02-04 SELL 62.50 -3.62 (-5.47%) 2 days 3.18% $10,317.71 Indicators Changed
2009-11-16 BUY 67.89 (76.04 / 59.74) 2009-11-19 SELL 64.54 -3.35 (-4.93%) 3 days 9.15% $10,915.32 Indicators Changed
2009-09-08 BUY 58.10 (65.07 / 51.13) 2009-10-14 SELL 66.04 7.94 (13.67%) 26 days 14.82% $11,481.88 Take Profits
2009-08-21 BUY 56.56 (63.35 / 49.77) 2009-09-02 SELL 54.06 -2.50 (-4.42%) 8 days 1.01% $10,101.41 Indicators Changed
2009-06-22 SHORT 52.32 (46.04 / 58.60) 2009-08-03 COVER 55.95 3.63 (-6.94%) 29 days 5.69% $10,568.55 Indicators Changed
2009-04-02 BUY 43.79 (49.04 / 38.54) 2009-04-24 SELL 49.73 5.94 (13.56%) 15 days 13.56% $11,356.47 Take Profits

 

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

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