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SPDR SP 600 Small Cap Growth ETF (NYSEArca:SLYG)

NYSEArca:SLYG

Stock Performance

Overall Statistics
Total Trades:   69
Winning Trades:   39
Losing Trades:   30
Success Rate %:   56.52%
Biggest % Gain:   15.23%
Biggest % Loss   -12.00%
 
Year Days In % Gain Account
$10,000.00
2009 57 days 26.04% $12,603.52
2010 49 days 22.87% $15,486.17
2011 111 days -6.25% $14,517.92
2012 154 days 8.84% $15,801.60
2013 105 days 4.55% $16,520.26
2014 83 days -10.74% $14,745.54
2015 149 days -8.61% $13,476.34
2016 114 days 5.82% $14,260.74
2017 69 days 0.15% $14,282.75
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-04-21 BUY 212.23 (220.72 / 186.76) 2017-06-09 SELL 218.81 6.58 (3.10%) 34 days 42.83% $14,282.75 Take Profits
2017-04-04 SHORT 208.15 (199.82 / 233.13) 2017-04-19 COVER 209.23 1.08 (-0.52%) 10 days 38.53% $13,853.24 Indicators Changed
2017-03-21 SHORT 208.11 (199.79 / 233.08) 2017-03-30 COVER 212.37 4.26 (-2.05%) 7 days 39.25% $13,925.49 Indicators Changed
2017-02-09 BUY 210.70 (219.13 / 185.42) 2017-03-02 SELL 213.46 2.76 (1.31%) 14 days 42.17% $14,216.50 Indicators Changed
2017-01-30 SHORT 206.98 (198.70 / 231.82) 2017-02-03 COVER 210.29 3.31 (-1.60%) 4 days 40.33% $14,032.69 Indicators Changed
2016-11-09 BUY 186.70 (194.17 / 164.30) 2016-11-11 SELL 194.26 7.56 (4.05%) 2 days 42.61% $14,260.74 Take Profits
2016-09-09 SHORT 187.68 (180.17 / 210.20) 2016-10-27 COVER 180.75 -6.93 (3.69%) 34 days 37.06% $13,705.89 Take Profits
2016-08-02 SHORT 184.87 (177.48 / 207.05) 2016-09-02 COVER 191.35 6.48 (-3.51%) 23 days 32.18% $13,217.82 Indicators Changed
2016-07-07 BUY 178.25 (185.38 / 156.86) 2016-07-12 SELL 186.37 8.12 (4.56%) 3 days 36.98% $13,697.96 Take Profits
2016-06-24 SHORT 173.91 (166.95 / 194.78) 2016-06-30 COVER 178.39 4.48 (-2.58%) 4 days 31.01% $13,100.97 Indicators Changed
2016-05-25 BUY 175.80 (182.83 / 154.70) 2016-06-08 SELL 183.00 7.20 (4.10%) 9 days 34.47% $13,447.38 Take Profits
2016-05-04 SHORT 171.97 (165.09 / 192.61) 2016-05-24 COVER 175.19 3.22 (-1.87%) 14 days 29.18% $12,918.30 Indicators Changed
2016-03-29 BUY 171.75 (178.62 / 151.14) 2016-04-05 SELL 169.90 -1.85 (-1.08%) 5 days 31.65% $13,164.80 Indicators Changed
2016-02-16 BUY 155.44 (161.66 / 136.79) 2016-02-25 SELL 161.83 6.39 (4.11%) 7 days 33.08% $13,308.15 Take Profits
2016-01-26 BUY 159.11 (165.47 / 140.02) 2016-02-12 SELL 150.92 -8.19 (-5.15%) 13 days 27.83% $12,782.67 Indicators Changed
2015-11-02 BUY 187.99 (195.51 / 165.43) 2015-12-07 SELL 185.19 -2.80 (-1.49%) 24 days 34.76% $13,476.34 Indicators Changed
2015-10-05 BUY 180.02 (187.22 / 158.42) 2015-10-28 SELL 183.65 3.63 (2.02%) 17 days 36.80% $13,680.10 Take Profits
2015-09-15 BUY 182.75 (190.06 / 160.82) 2015-09-28 SELL 173.05 -9.70 (-5.31%) 9 days 34.10% $13,409.70 Indicators Changed
2015-07-24 SHORT 188.77 (181.22 / 211.42) 2015-08-17 COVER 191.91 3.14 (-1.66%) 10 days 41.61% $14,161.36 Indicators Changed
2015-07-10 BUY 191.08 (198.72 / 168.15) 2015-07-23 SELL 191.14 0.06 (0.03%) 9 days 44.01% $14,400.90 Indicators Changed
2015-06-02 BUY 188.72 (196.27 / 166.07) 2015-06-29 SELL 189.28 0.56 (0.30%) 19 days 43.96% $14,396.38 Indicators Changed
2015-05-14 BUY 187.99 (195.51 / 165.43) 2015-05-26 SELL 186.19 -1.80 (-0.96%) 7 days 43.54% $14,353.79 Indicators Changed
2015-03-16 BUY 186.38 (193.84 / 164.01) 2015-04-30 SELL 183.51 -2.87 (-1.54%) 32 days 44.93% $14,492.56 Indicators Changed
2015-01-22 BUY 177.76 (184.87 / 156.43) 2015-02-18 SELL 185.07 7.31 (4.11%) 17 days 47.19% $14,719.21 Take Profits
2014-12-29 BUY 179.31 (186.48 / 157.79) 2015-01-06 SELL 171.92 -7.39 (-4.12%) 5 days 41.38% $14,137.82 Indicators Changed
2014-12-18 BUY 182.06 (189.34 / 160.21) 2014-12-19 SELL 174.54 -7.52 (-4.13%) 1 day 47.46% $14,745.54 Indicators Changed
2014-10-21 BUY 168.67 (175.42 / 148.43) 2014-10-28 SELL 176.43 7.76 (4.60%) 5 days 53.81% $15,380.85 Take Profits
2014-08-11 BUY 174.32 (181.29 / 153.40) 2014-09-23 SELL 171.08 -3.24 (-1.86%) 30 days 47.04% $14,704.34 Indicators Changed
2014-05-22 BUY 170.15 (176.96 / 149.73) 2014-06-06 SELL 177.73 7.58 (4.45%) 10 days 49.83% $14,982.82 Take Profits
2014-03-26 SHORT 176.38 (169.32 / 197.55) 2014-04-15 COVER 171.57 -4.81 (2.73%) 14 days 43.44% $14,343.82 Take Profits
2014-02-21 BUY 176.42 (183.47 / 155.25) 2014-03-04 SELL 183.70 7.28 (4.13%) 7 days 39.63% $13,963.04 Take Profits
2014-02-13 BUY 173.87 (180.83 / 153.01) 2014-02-20 SELL 153.01 -20.86 (-12.00%) 3 days 34.09% $13,409.38 Exit on STOP
2014-01-15 BUY 178.43 (185.57 / 157.02) 2014-02-05 SELL 164.58 -13.85 (-7.76%) 13 days 52.38% $15,237.93 Indicators Changed
2013-12-23 BUY 178.50 (185.64 / 157.08) 2014-01-02 SELL 175.93 -2.57 (-1.44%) 6 days 65.20% $16,520.26 Indicators Changed
2013-11-21 BUY 171.85 (178.72 / 151.23) 2013-12-04 SELL 173.27 1.42 (0.83%) 8 days 67.62% $16,761.59 Indicators Changed
2013-10-15 BUY 164.86 (171.45 / 145.08) 2013-10-25 SELL 170.80 5.94 (3.60%) 8 days 66.24% $16,624.22 Take Profits
2013-08-26 BUY 157.73 (164.04 / 138.80) 2013-10-01 SELL 164.70 6.97 (4.42%) 25 days 60.46% $16,046.08 Take Profits
2013-06-18 BUY 149.40 (155.38 / 131.47) 2013-06-20 SELL 144.41 -4.99 (-3.34%) 2 days 53.67% $15,367.02 Indicators Changed
2013-04-25 BUY 140.10 (145.70 / 123.29) 2013-05-01 SELL 137.92 -2.18 (-1.56%) 4 days 58.98% $15,898.01 Indicators Changed
2013-03-21 SHORT 139.99 (134.39 / 156.79) 2013-04-15 COVER 134.32 -5.67 (4.05%) 16 days 61.49% $16,149.30 Take Profits
2013-01-31 SHORT 134.15 (128.78 / 150.25) 2013-03-14 COVER 141.28 7.13 (-5.31%) 29 days 55.21% $15,520.67 Indicators Changed
2012-12-31 BUY 126.35 (131.40 / 111.19) 2013-01-10 SELL 131.07 4.72 (3.74%) 7 days 63.92% $16,391.89 Take Profits
2012-11-23 BUY 121.16 (126.01 / 106.62) 2012-12-18 SELL 126.38 5.22 (4.31%) 17 days 58.02% $15,801.60 Take Profits
2012-11-02 BUY 124.21 (129.18 / 109.30) 2012-11-07 SELL 121.98 -2.23 (-1.80%) 3 days 51.49% $15,148.93 Indicators Changed
2012-07-23 SHORT 119.27 (114.50 / 133.58) 2012-09-06 COVER 127.80 8.53 (-7.15%) 32 days 54.26% $15,425.88 Indicators Changed
2012-06-07 BUY 116.60 (121.26 / 102.61) 2012-07-03 SELL 122.99 6.39 (5.48%) 18 days 66.14% $16,614.09 Take Profits
2012-02-14 SHORT 121.31 (116.46 / 135.87) 2012-05-17 COVER 116.04 -5.27 (4.34%) 65 days 57.51% $15,750.90 Take Profits
2011-12-20 BUY 112.43 (116.93 / 98.94) 2012-01-19 SELL 116.90 4.47 (3.98%) 19 days 50.95% $15,095.13 Take Profits
2011-11-11 BUY 112.05 (116.53 / 98.60) 2011-12-14 SELL 107.97 -4.08 (-3.64%) 22 days 45.18% $14,517.92 Indicators Changed
2011-10-06 BUY 101.97 (106.05 / 89.73) 2011-10-14 SELL 107.20 5.23 (5.13%) 6 days 50.67% $15,066.53 Take Profits
2011-09-14 BUY 106.48 (110.74 / 93.70) 2011-09-22 SELL 96.90 -9.58 (-9.00%) 6 days 43.31% $14,331.47 Indicators Changed
2011-07-19 BUY 122.64 (127.55 / 107.92) 2011-08-02 SELL 112.12 -10.52 (-8.58%) 10 days 57.48% $15,748.35 Indicators Changed
2011-05-05 SHORT 119.55 (114.77 / 133.90) 2011-06-10 COVER 113.87 -5.68 (4.75%) 25 days 72.26% $17,225.99 Take Profits
2011-04-20 BUY 118.95 (123.71 / 104.68) 2011-04-29 SELL 123.96 5.01 (4.21%) 6 days 64.45% $16,444.68 Take Profits
2011-02-23 SHORT 111.39 (106.93 / 124.76) 2011-03-24 COVER 114.77 3.38 (-3.03%) 21 days 57.80% $15,780.05 Indicators Changed
2011-01-27 BUY 111.08 (115.52 / 97.75) 2011-02-17 SELL 116.73 5.65 (5.09%) 15 days 62.74% $16,273.86 Take Profits
2010-09-02 BUY 86.62 (90.08 / 76.23) 2010-09-14 SELL 89.46 2.84 (3.28%) 7 days 54.86% $15,486.17 Take Profits
2010-08-11 SHORT 84.68 (81.29 / 94.84) 2010-08-24 COVER 81.69 -2.99 (3.53%) 9 days 49.95% $14,994.54 Take Profits
2010-07-09 BUY 85.39 (88.81 / 75.14) 2010-07-26 SELL 90.54 5.15 (6.03%) 11 days 44.83% $14,483.15 Take Profits
2010-06-14 BUY 88.24 (91.77 / 77.65) 2010-06-21 SELL 89.31 1.07 (1.21%) 5 days 36.59% $13,659.33 Take Profits
2010-02-16 BUY 84.28 (87.65 / 74.17) 2010-03-02 SELL 87.42 3.14 (3.73%) 10 days 34.96% $13,495.69 Take Profits
2010-02-02 BUY 83.25 (86.58 / 73.26) 2010-02-03 SELL 82.68 -0.57 (-0.68%) 1 day 30.11% $13,010.94 Indicators Changed
2010-01-15 SHORT 86.20 (82.75 / 96.54) 2010-01-26 COVER 82.80 -3.40 (3.94%) 6 days 31.01% $13,100.64 Take Profits
2009-12-02 BUY 79.11 (82.27 / 69.62) 2009-12-21 SELL 83.03 3.92 (4.96%) 13 days 26.04% $12,603.52 Take Profits
2009-11-11 BUY 79.58 (82.76 / 70.03) 2009-11-27 SELL 77.14 -2.44 (-3.07%) 11 days 20.08% $12,008.48 Indicators Changed
2009-09-25 SHORT 79.27 (76.10 / 88.78) 2009-10-28 COVER 75.12 -4.15 (5.24%) 23 days 23.88% $12,388.32 Take Profits
2009-07-15 BUY 67.62 (70.32 / 59.51) 2009-07-23 SELL 72.09 4.47 (6.61%) 6 days 17.72% $11,772.02 Take Profits
2009-05-29 BUY 65.41 (68.03 / 57.56) 2009-06-01 SELL 68.28 2.87 (4.39%) 1 day 10.42% $11,042.09 Take Profits
2009-03-23 BUY 52.08 (54.16 / 45.83) 2009-03-26 SELL 55.09 3.01 (5.78%) 3 days 5.78% $10,577.96 Take Profits

 

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

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