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Virgin Media Inc. (NasdaqGS:VMED)

NasdaqGS:VMED

Stock Performance

Overall Statistics
Total Trades:   33
Winning Trades:   21
Losing Trades:   12
Success Rate %:   63.64%
Biggest % Gain:   17.36%
Biggest % Loss   -7.00%
 
Year Days In % Gain Account
$10,000.00
2009 62 days 41.71% $14,170.69
2010 75 days 41.65% $20,072.17
2011 143 days 59.74% $32,064.28
2012 96 days 41.53% $45,379.90
2013 68 days 7.86% $48,947.31
2014 0 days 0.00% $48,947.31
2015 0 days 0.00% $48,947.31
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2013-09-11 SHORT 0.00 (0.00 / 0.00) (Open Position)
2013-06-05 SHORT 49.29 (42.88 / 52.74) 2013-06-07 COVER 51.00 1.71 (-3.47%) 2 days 389.47% $48,947.31 Indicators Changed
2013-02-05 BUY 45.61 (51.54 / 42.42) 2013-05-08 SELL 51.85 6.24 (13.68%) 64 days 407.06% $50,706.45 Take Profits
2013-01-02 BUY 38.02 (42.96 / 35.36) 2013-01-04 SELL 37.37 -0.65 (-1.71%) 2 days 346.04% $44,604.07 Indicators Changed
2012-11-19 BUY 33.63 (38.00 / 31.28) 2012-12-13 SELL 35.08 1.45 (4.31%) 17 days 353.80% $45,379.90 Indicators Changed
2012-08-31 BUY 27.57 (31.15 / 25.64) 2012-10-15 SELL 31.87 4.30 (15.60%) 30 days 335.04% $43,504.16 Take Profits
2012-07-13 BUY 24.74 (27.96 / 23.01) 2012-08-03 SELL 27.84 3.10 (12.53%) 15 days 276.34% $37,634.44 Take Profits
2012-05-25 BUY 22.26 (25.15 / 20.70) 2012-07-05 SELL 24.98 2.72 (12.22%) 27 days 234.44% $33,443.83 Take Profits
2012-05-01 BUY 24.89 (28.13 / 23.15) 2012-05-02 SELL 23.86 -1.03 (-4.14%) 1 day 198.02% $29,802.23 Indicators Changed
2012-03-30 BUY 24.98 (28.23 / 23.23) 2012-04-10 SELL 24.22 -0.76 (-3.04%) 6 days 210.89% $31,088.74 Indicators Changed
2011-10-28 SHORT 24.77 (21.55 / 26.50) 2011-12-06 COVER 22.42 -2.35 (9.49%) 26 days 220.64% $32,064.28 Indicators Changed
2011-10-06 BUY 24.55 (27.74 / 22.83) 2011-10-24 SELL 27.78 3.23 (13.16%) 12 days 192.86% $29,285.85 Take Profits
2011-09-07 BUY 24.95 (28.19 / 23.20) 2011-09-30 SELL 24.35 -0.60 (-2.40%) 17 days 158.81% $25,880.76 Indicators Changed
2011-06-10 SHORT 31.17 (27.12 / 33.35) 2011-07-18 COVER 26.66 -4.51 (14.47%) 25 days 165.18% $26,518.48 Take Profits
2011-03-29 BUY 27.57 (31.15 / 25.64) 2011-05-05 SELL 31.01 3.44 (12.48%) 26 days 131.67% $23,166.51 Take Profits
2011-03-03 BUY 27.19 (30.72 / 25.29) 2011-03-10 SELL 27.32 0.13 (0.48%) 5 days 105.97% $20,596.60 Indicators Changed
2011-02-01 BUY 26.06 (29.45 / 24.24) 2011-03-01 SELL 26.38 0.32 (1.23%) 19 days 104.99% $20,498.59 Indicators Changed
2011-01-07 SHORT 25.97 (22.59 / 27.79) 2011-01-27 COVER 25.74 -0.23 (0.89%) 13 days 102.50% $20,249.94 Indicators Changed
2010-12-14 SHORT 26.47 (23.03 / 28.32) 2010-12-30 COVER 27.10 0.63 (-2.38%) 11 days 100.72% $20,072.17 Indicators Changed
2010-10-28 BUY 25.22 (28.50 / 23.45) 2010-11-12 SELL 26.32 1.10 (4.36%) 11 days 105.62% $20,561.55 Indicators Changed
2010-09-01 BUY 21.91 (24.76 / 20.38) 2010-09-07 SELL 21.33 -0.58 (-2.65%) 3 days 97.02% $19,702.21 Indicators Changed
2010-05-28 BUY 16.16 (18.26 / 15.03) 2010-07-13 SELL 18.22 2.06 (12.75%) 30 days 102.38% $20,237.95 Take Profits
2010-02-16 BUY 14.97 (16.92 / 13.92) 2010-03-01 SELL 16.97 2.00 (13.36%) 9 days 79.50% $17,949.79 Take Profits
2010-01-12 SHORT 16.61 (14.45 / 17.77) 2010-01-28 COVER 14.66 -1.95 (11.74%) 11 days 58.34% $15,834.32 Take Profits
2009-10-21 SHORT 14.12 (12.28 / 15.11) 2009-11-06 COVER 15.11 0.99 (-7.00%) 12 days 41.71% $14,170.69 Exit on STOP
2009-10-06 BUY 13.69 (15.47 / 12.73) 2009-10-07 SELL 13.48 -0.21 (-1.53%) 1 day 52.37% $15,237.30 Indicators Changed
2009-09-29 BUY 13.33 (15.06 / 12.40) 2009-10-02 SELL 12.90 -0.43 (-3.23%) 3 days 54.75% $15,474.68 Indicators Changed
2009-08-21 BUY 11.14 (12.59 / 10.36) 2009-09-09 SELL 12.41 1.27 (11.40%) 12 days 59.91% $15,990.50 Take Profits
2009-06-29 BUY 9.26 (10.46 / 8.61) 2009-07-16 SELL 10.49 1.23 (13.28%) 12 days 43.54% $14,354.09 Take Profits
2009-04-02 BUY 5.53 (6.25 / 5.14) 2009-04-09 SELL 6.49 0.96 (17.36%) 5 days 26.71% $12,671.01 Take Profits
2009-03-30 SHORT 4.76 (4.14 / 5.09) 2009-04-01 COVER 5.09 0.33 (-7.00%) 2 days 7.97% $10,796.71 Exit on STOP
2009-03-12 BUY 4.91 (5.55 / 4.57) 2009-03-23 SELL 5.49 0.58 (11.81%) 7 days 16.09% $11,609.37 Take Profits
2009-03-04 SHORT 4.38 (3.81 / 4.69) 2009-03-09 COVER 3.87 -0.51 (11.64%) 3 days 3.83% $10,382.88 Take Profits
2009-02-18 SHORT 4.38 (3.81 / 4.69) 2009-02-25 COVER 4.69 0.31 (-7.00%) 5 days -7.00% $9,300.00 Exit on STOP

 

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

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