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Technology Select Sector SPDR (NYSEArca:XLK)

NYSEArca:XLK

Stock Performance

Overall Statistics
Total Trades:   52
Winning Trades:   20
Losing Trades:   32
Success Rate %:   38.46%
Biggest % Gain:   19.19%
Biggest % Loss   -7.00%
 
Year Days In % Gain Account
$10,000.00
2009 46 days -7.23% $9,277.44
2010 171 days 22.96% $11,407.45
2011 134 days -9.62% $10,310.30
2012 155 days 26.27% $13,018.53
2013 181 days -2.84% $12,648.69
2014 137 days -7.96% $11,642.15
2015 146 days -6.10% $10,932.52
2016 135 days 13.82% $12,442.96
2017 87 days 7.70% $13,401.42
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-08-10 SHORT 56.72 (51.04 / 60.69) (Open Position)
2017-06-27 SHORT 55.08 (49.57 / 58.94) 2017-07-12 COVER 56.26 1.18 (-2.14%) 10 days 34.01% $13,401.42 Indicators Changed
2017-01-06 BUY 49.40 (54.34 / 45.94) 2017-04-28 SELL 54.37 4.97 (10.06%) 77 days 36.95% $13,694.81 Take Profits
2016-12-07 BUY 48.18 (53.00 / 44.81) 2016-12-16 SELL 48.62 0.44 (0.91%) 7 days 24.43% $12,442.96 Indicators Changed
2016-11-17 BUY 47.42 (52.17 / 44.11) 2016-12-01 SELL 46.51 -0.91 (-1.93%) 9 days 23.30% $12,330.35 Indicators Changed
2016-10-24 BUY 47.99 (52.79 / 44.63) 2016-10-26 SELL 47.55 -0.44 (-0.92%) 2 days 25.73% $12,572.93 Indicators Changed
2016-07-06 BUY 43.46 (47.81 / 40.42) 2016-09-09 SELL 46.17 2.71 (6.24%) 46 days 26.89% $12,689.27 Indicators Changed
2016-05-24 BUY 43.49 (47.84 / 40.45) 2016-06-24 SELL 42.28 -1.21 (-2.78%) 22 days 19.44% $11,944.46 Indicators Changed
2016-04-22 SHORT 43.44 (39.10 / 46.48) 2016-05-20 COVER 42.73 -0.71 (1.63%) 20 days 22.86% $12,286.30 Indicators Changed
2016-02-16 BUY 39.95 (43.95 / 37.15) 2016-03-29 SELL 44.17 4.22 (10.58%) 29 days 20.89% $12,088.72 Take Profits
2015-12-29 BUY 43.80 (48.18 / 40.73) 2015-12-31 SELL 42.86 -0.94 (-2.15%) 2 days 9.33% $10,932.52 Indicators Changed
2015-10-02 BUY 40.06 (44.07 / 37.26) 2015-11-03 SELL 44.27 4.21 (10.50%) 22 days 11.72% $11,172.29 Take Profits
2015-09-08 BUY 40.38 (44.42 / 37.55) 2015-09-29 SELL 38.73 -1.65 (-4.10%) 15 days 1.11% $10,110.97 Indicators Changed
2015-08-10 BUY 42.77 (47.05 / 39.78) 2015-08-19 SELL 42.15 -0.62 (-1.45%) 7 days 5.43% $10,543.08 Indicators Changed
2015-07-16 BUY 42.77 (47.05 / 39.78) 2015-08-06 SELL 42.10 -0.67 (-1.58%) 15 days 6.98% $10,698.17 Indicators Changed
2015-05-14 BUY 43.45 (47.80 / 40.41) 2015-06-26 SELL 42.28 -1.17 (-2.69%) 30 days 8.70% $10,869.69 Indicators Changed
2015-04-20 BUY 42.16 (46.38 / 39.21) 2015-05-06 SELL 42.14 -0.02 (-0.06%) 12 days 11.70% $11,170.49 Indicators Changed
2015-04-09 BUY 41.92 (46.11 / 38.99) 2015-04-17 SELL 41.47 -0.45 (-1.07%) 6 days 11.77% $11,177.11 Indicators Changed
2015-02-05 BUY 41.23 (45.35 / 38.34) 2015-03-27 SELL 41.37 0.14 (0.34%) 35 days 12.98% $11,298.40 Indicators Changed
2015-01-23 BUY 41.45 (45.59 / 38.55) 2015-01-27 SELL 40.09 -1.36 (-3.28%) 2 days 12.60% $11,260.16 Indicators Changed
2014-12-23 BUY 42.18 (46.40 / 39.23) 2014-12-31 SELL 41.33 -0.85 (-2.02%) 5 days 16.42% $11,642.15 Indicators Changed
2014-07-31 SHORT 39.00 (35.10 / 41.73) 2014-10-23 COVER 38.91 -0.09 (0.23%) 59 days 18.82% $11,881.58 Indicators Changed
2014-04-28 BUY 36.09 (39.70 / 33.56) 2014-07-22 SELL 39.73 3.64 (10.09%) 59 days 18.54% $11,854.23 Take Profits
2014-04-22 BUY 36.32 (39.95 / 33.78) 2014-04-25 SELL 35.75 -0.57 (-1.57%) 3 days 7.68% $10,768.16 Indicators Changed
2014-02-07 BUY 35.10 (38.61 / 32.64) 2014-02-24 SELL 32.64 -2.46 (-7.00%) 10 days 9.40% $10,939.85 Exit on STOP
2014-01-16 BUY 35.96 (39.56 / 33.44) 2014-01-21 SELL 33.44 -2.52 (-7.00%) 1 day 17.63% $11,763.28 Exit on STOP
2013-10-10 BUY 32.18 (35.40 / 29.93) 2013-12-23 SELL 35.42 3.24 (10.07%) 50 days 26.49% $12,648.69 Take Profits
2013-09-09 BUY 32.14 (35.35 / 29.89) 2013-10-09 SELL 31.67 -0.47 (-1.46%) 22 days 14.92% $11,491.67 Indicators Changed
2013-07-08 BUY 31.16 (34.28 / 28.98) 2013-08-15 SELL 31.85 0.69 (2.21%) 28 days 16.62% $11,662.21 Indicators Changed
2013-06-20 SHORT 30.85 (27.77 / 33.01) 2013-07-05 COVER 31.18 0.33 (-1.07%) 10 days 14.10% $11,409.56 Indicators Changed
2013-04-17 SHORT 29.62 (26.66 / 31.69) 2013-05-14 COVER 31.69 2.07 (-7.00%) 19 days 15.33% $11,532.93 Exit on STOP
2013-03-05 BUY 30.18 (33.20 / 28.07) 2013-04-15 SELL 29.87 -0.31 (-1.03%) 28 days 24.01% $12,400.99 Indicators Changed
2013-02-20 SHORT 29.57 (26.61 / 31.64) 2013-03-04 COVER 29.77 0.20 (-0.68%) 8 days 25.30% $12,529.70 Indicators Changed
2013-02-01 BUY 29.73 (32.70 / 27.65) 2013-02-04 SELL 29.34 -0.39 (-1.31%) 1 day 26.15% $12,615.02 Indicators Changed
2013-01-02 BUY 29.81 (32.79 / 27.72) 2013-01-24 SELL 29.27 -0.54 (-1.81%) 15 days 27.83% $12,782.70 Indicators Changed
2012-11-29 BUY 29.16 (32.08 / 27.12) 2012-12-26 SELL 28.71 -0.45 (-1.54%) 18 days 30.19% $13,018.53 Indicators Changed
2012-09-24 SHORT 31.31 (28.18 / 33.50) 2012-11-08 COVER 28.11 -3.20 (10.22%) 31 days 32.23% $13,222.58 Take Profits
2012-07-18 BUY 28.84 (31.72 / 26.82) 2012-09-19 SELL 31.66 2.82 (9.78%) 44 days 19.96% $11,996.50 Take Profits
2012-06-06 BUY 28.16 (30.98 / 26.19) 2012-07-11 SELL 28.18 0.02 (0.07%) 24 days 9.28% $10,927.95 Indicators Changed
2012-04-25 BUY 29.81 (32.79 / 27.72) 2012-05-07 SELL 28.99 -0.82 (-2.75%) 8 days 9.20% $10,920.20 Indicators Changed
2012-01-03 BUY 25.81 (28.39 / 24.00) 2012-02-15 SELL 28.11 2.30 (8.91%) 30 days 12.29% $11,229.08 Take Profits
2011-11-09 SHORT 25.59 (23.03 / 27.38) 2011-12-27 COVER 25.60 0.01 (-0.04%) 32 days 3.10% $10,310.30 Indicators Changed
2011-08-29 BUY 24.40 (26.84 / 22.69) 2011-09-30 SELL 23.60 -0.80 (-3.28%) 23 days 3.14% $10,314.33 Indicators Changed
2011-04-20 BUY 26.12 (28.73 / 24.29) 2011-05-13 SELL 26.46 0.34 (1.30%) 16 days 6.64% $10,663.97 Indicators Changed
2011-03-25 BUY 25.88 (28.47 / 24.07) 2011-04-12 SELL 25.68 -0.20 (-0.77%) 12 days 5.27% $10,526.94 Indicators Changed
2010-11-11 SHORT 24.69 (22.22 / 26.42) 2011-01-26 COVER 26.42 1.73 (-7.00%) 51 days 6.09% $10,608.93 Exit on STOP
2010-09-03 BUY 21.73 (23.90 / 20.21) 2010-10-15 SELL 24.09 2.36 (10.86%) 29 days 14.07% $11,407.45 Take Profits
2010-07-09 BUY 21.39 (23.53 / 19.89) 2010-08-11 SELL 21.67 0.28 (1.31%) 23 days 2.90% $10,289.91 Indicators Changed
2010-01-07 SHORT 22.89 (20.60 / 24.49) 2010-06-29 COVER 20.72 -2.17 (9.48%) 119 days 1.57% $10,156.95 Take Profits
2009-11-27 SHORT 21.71 (19.54 / 23.23) 2009-12-21 COVER 22.53 0.82 (-3.78%) 16 days -7.23% $9,277.44 Indicators Changed
2009-10-30 SHORT 20.61 (18.55 / 22.05) 2009-11-16 COVER 22.05 1.44 (-7.00%) 11 days -3.58% $9,641.61 Exit on STOP
2009-07-02 SHORT 17.83 (16.05 / 19.08) 2009-07-20 COVER 19.08 1.25 (-7.00%) 11 days 3.67% $10,367.32 Exit on STOP
2009-03-11 BUY 14.29 (15.72 / 13.29) 2009-03-23 SELL 15.93 1.64 (11.48%) 8 days 11.48% $11,147.66 Take Profits

 

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

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