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SPDR Dow Jones Total Market (NYSEArca:TMW)

NYSEArca:TMW

Stock Performance

Overall Statistics
Total Trades:   29
Winning Trades:   15
Losing Trades:   14
Success Rate %:   51.72%
Biggest % Gain:   18.13%
Biggest % Loss   -5.62%
 
Year Days In % Gain Account
$10,000.00
2009 123 days 20.47% $12,047.34
2010 131 days 19.73% $14,423.89
2011 169 days 11.60% $16,096.57
2012 131 days 6.68% $17,172.20
2013 117 days 9.27% $18,763.63
2014 0 days 0.00% $18,763.63
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2014-12-11 SHORT 0.00 (0.00 / 0.00) (Open Position)
2013-05-06 BUY 121.18 (135.72 / 117.54) 2013-06-19 SELL 122.81 1.63 (1.35%) 30 days 87.64% $18,763.63 Indicators Changed
2013-04-23 BUY 117.97 (132.13 / 114.43) 2013-05-03 SELL 114.43 -3.54 (-3.00%) 8 days 85.15% $18,514.57 Exit on STOP
2013-04-09 BUY 117.37 (131.45 / 113.85) 2013-04-15 SELL 116.29 -1.08 (-0.92%) 4 days 90.87% $19,087.19 Indicators Changed
2012-11-23 BUY 104.81 (117.39 / 101.67) 2013-03-14 SELL 117.58 12.77 (12.18%) 75 days 92.64% $19,264.45 Take Profits
2012-10-17 BUY 108.60 (121.63 / 105.34) 2012-10-18 SELL 105.34 -3.26 (-3.00%) 1 day 71.72% $17,172.20 Exit on STOP
2012-10-04 BUY 108.59 (121.62 / 105.33) 2012-10-12 SELL 106.13 -2.46 (-2.27%) 6 days 77.03% $17,703.30 Indicators Changed
2012-07-27 BUY 103.23 (115.62 / 100.13) 2012-09-25 SELL 107.25 4.02 (3.89%) 41 days 81.14% $18,113.65 Indicators Changed
2012-06-07 BUY 98.21 (110.00 / 95.26) 2012-07-24 SELL 99.00 0.79 (0.80%) 32 days 74.35% $17,434.70 Indicators Changed
2012-04-12 BUY 103.52 (115.94 / 100.41) 2012-05-04 SELL 102.16 -1.36 (-1.31%) 16 days 72.96% $17,295.58 Indicators Changed
2011-12-20 BUY 92.35 (103.43 / 89.58) 2012-02-10 SELL 100.55 8.20 (8.88%) 35 days 75.26% $17,525.82 Indicators Changed
2011-12-01 BUY 93.25 (104.44 / 90.45) 2011-12-14 SELL 90.45 -2.80 (-3.00%) 9 days 60.97% $16,096.57 Exit on STOP
2011-11-09 SHORT 91.88 (80.85 / 94.64) 2011-11-30 COVER 93.40 1.52 (-1.65%) 14 days 65.94% $16,594.40 Indicators Changed
2011-10-07 BUY 86.00 (96.32 / 83.42) 2011-10-27 SELL 95.77 9.77 (11.36%) 14 days 68.74% $16,873.54 Take Profits
2011-09-22 SHORT 83.90 (73.83 / 86.42) 2011-09-27 COVER 86.42 2.52 (-3.00%) 3 days 51.52% $15,152.18 Exit on STOP
2011-08-24 BUY 87.79 (98.32 / 85.16) 2011-08-26 SELL 85.16 -2.63 (-3.00%) 2 days 56.21% $15,620.81 Exit on STOP
2011-07-19 BUY 99.74 (111.71 / 96.75) 2011-07-28 SELL 97.40 -2.34 (-2.35%) 7 days 61.04% $16,103.93 Indicators Changed
2011-05-23 SHORT 99.35 (87.43 / 102.33) 2011-06-21 COVER 97.32 -2.03 (2.04%) 20 days 64.91% $16,490.82 Indicators Changed
2010-12-01 BUY 90.61 (101.48 / 87.89) 2011-04-26 SELL 101.52 10.91 (12.04%) 100 days 61.61% $16,160.61 Take Profits
2010-09-02 BUY 81.16 (90.90 / 78.73) 2010-10-19 SELL 86.66 5.50 (6.78%) 32 days 44.24% $14,423.89 Indicators Changed
2010-07-09 BUY 80.17 (89.79 / 77.76) 2010-08-11 SELL 80.93 0.76 (0.95%) 23 days 35.08% $13,508.45 Indicators Changed
2010-06-14 BUY 81.87 (91.69 / 79.41) 2010-06-29 SELL 79.41 -2.46 (-3.00%) 11 days 33.82% $13,381.60 Exit on STOP
2010-02-16 BUY 80.89 (90.60 / 78.46) 2010-04-23 SELL 90.88 9.99 (12.35%) 47 days 37.95% $13,795.46 Take Profits
2009-12-22 BUY 82.17 (92.03 / 79.70) 2010-01-20 SELL 83.75 1.58 (1.92%) 18 days 22.79% $12,278.99 Indicators Changed
2009-11-04 BUY 77.54 (86.84 / 75.21) 2009-12-17 SELL 80.82 3.28 (4.23%) 30 days 20.47% $12,047.34 Indicators Changed
2009-09-24 SHORT 77.29 (68.02 / 79.61) 2009-10-14 COVER 79.61 2.32 (-3.00%) 14 days 15.58% $11,558.41 Exit on STOP
2009-07-16 BUY 68.89 (77.16 / 66.82) 2009-09-11 SELL 77.04 8.15 (11.83%) 40 days 19.16% $11,915.89 Take Profits
2009-06-15 SHORT 67.98 (59.82 / 70.02) 2009-07-15 COVER 68.23 0.25 (-0.37%) 21 days 6.55% $10,655.32 Indicators Changed
2009-05-13 SHORT 64.60 (56.85 / 66.54) 2009-05-18 COVER 66.54 1.94 (-3.00%) 3 days 6.95% $10,694.65 Exit on STOP
2009-03-12 BUY 55.10 (61.71 / 53.45) 2009-04-02 SELL 60.75 5.65 (10.25%) 15 days 10.25% $11,025.41 Take Profits

 

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

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