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Consumer Discret Select Sector SPDR (NYSEArca:XLY)

NYSEArca:XLY

Stock Performance

Overall Statistics
Total Trades:   55
Winning Trades:   27
Losing Trades:   28
Success Rate %:   49.09%
Biggest % Gain:   15.23%
Biggest % Loss   -9.00%
 
Year Days In % Gain Account
$10,000.00
2009 123 days 19.32% $11,931.51
2010 148 days 45.01% $17,301.80
2011 187 days 21.85% $21,082.04
2012 168 days 6.34% $22,418.60
2013 149 days 5.05% $23,549.82
2014 130 days 2.64% $24,172.41
2015 171 days 5.29% $25,452.01
2016 148 days -6.69% $23,748.44
2017 51 days -0.48% $23,633.57
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-06-09 SHORT 90.37 (77.72 / 98.50) (Open Position)
2017-03-29 BUY 87.71 (99.99 / 79.82) 2017-04-28 SELL 90.08 2.37 (2.70%) 21 days 136.34% $23,633.57 Indicators Changed
2017-02-10 BUY 85.73 (97.73 / 78.01) 2017-02-28 SELL 86.37 0.64 (0.75%) 11 days 130.12% $23,011.78 Indicators Changed
2016-12-28 SHORT 82.20 (70.69 / 89.60) 2017-01-26 COVER 85.34 3.14 (-3.82%) 19 days 128.41% $22,841.26 Indicators Changed
2016-11-08 BUY 78.82 (89.85 / 71.73) 2016-12-16 SELL 82.70 3.88 (4.92%) 26 days 137.48% $23,748.44 Indicators Changed
2016-10-21 BUY 79.58 (90.72 / 72.42) 2016-10-25 SELL 79.22 -0.36 (-0.45%) 2 days 126.34% $22,634.24 Indicators Changed
2016-09-27 BUY 79.59 (90.73 / 72.43) 2016-10-17 SELL 78.25 -1.34 (-1.68%) 14 days 127.37% $22,737.10 Indicators Changed
2016-09-23 BUY 79.67 (90.82 / 72.50) 2016-09-26 SELL 78.79 -0.88 (-1.10%) 1 day 131.26% $23,126.46 Indicators Changed
2016-08-11 BUY 82.07 (93.56 / 74.68) 2016-09-14 SELL 78.41 -3.66 (-4.46%) 23 days 133.85% $23,384.76 Indicators Changed
2016-07-01 BUY 78.91 (89.96 / 71.81) 2016-08-02 SELL 80.53 1.62 (2.05%) 21 days 144.76% $24,476.31 Indicators Changed
2016-06-23 BUY 79.11 (90.19 / 71.99) 2016-06-24 SELL 76.17 -2.94 (-3.72%) 1 day 139.84% $23,983.93 Indicators Changed
2016-05-27 BUY 79.37 (90.48 / 72.23) 2016-06-10 SELL 78.49 -0.88 (-1.11%) 9 days 149.10% $24,909.65 Indicators Changed
2016-05-02 BUY 80.31 (91.55 / 73.08) 2016-05-13 SELL 78.11 -2.20 (-2.74%) 9 days 151.89% $25,188.93 Indicators Changed
2015-12-31 SHORT 78.16 (67.22 / 85.20) 2016-03-03 COVER 76.79 -1.37 (1.75%) 42 days 158.98% $25,898.39 Indicators Changed
2015-10-02 BUY 75.87 (86.49 / 69.04) 2015-12-18 SELL 77.33 1.46 (1.92%) 54 days 154.52% $25,452.01 Indicators Changed
2015-09-08 BUY 75.54 (86.12 / 68.74) 2015-09-29 SELL 72.31 -3.23 (-4.28%) 15 days 149.71% $24,971.47 Indicators Changed
2015-08-20 SHORT 76.81 (66.06 / 83.72) 2015-08-24 COVER 71.38 -5.43 (7.07%) 2 days 160.87% $26,086.91 Take Profits
2015-07-29 BUY 79.69 (90.85 / 72.52) 2015-08-06 SELL 78.34 -1.35 (-1.69%) 6 days 143.64% $24,364.49 Indicators Changed
2015-07-10 BUY 77.66 (88.53 / 70.67) 2015-07-27 SELL 78.27 0.61 (0.79%) 11 days 147.84% $24,784.36 Indicators Changed
2015-05-15 BUY 76.59 (87.31 / 69.70) 2015-06-29 SELL 76.12 -0.47 (-0.61%) 30 days 145.91% $24,591.20 Indicators Changed
2015-04-17 SHORT 75.25 (64.71 / 82.02) 2015-05-08 COVER 76.60 1.35 (-1.80%) 15 days 147.43% $24,743.03 Indicators Changed
2015-01-22 BUY 71.03 (80.97 / 64.64) 2015-03-06 SELL 75.41 4.38 (6.17%) 30 days 151.97% $25,196.77 Indicators Changed
2014-12-22 BUY 71.56 (81.58 / 65.12) 2015-01-05 SELL 70.26 -1.30 (-1.82%) 8 days 137.33% $23,733.28 Indicators Changed
2014-10-21 BUY 66.09 (75.34 / 60.14) 2014-12-08 SELL 70.96 4.87 (7.37%) 33 days 141.72% $24,172.41 Indicators Changed
2014-08-14 BUY 67.25 (76.66 / 61.20) 2014-09-30 SELL 66.69 -0.56 (-0.83%) 32 days 125.13% $22,513.46 Indicators Changed
2014-05-12 BUY 64.64 (73.69 / 58.82) 2014-06-20 SELL 66.08 1.44 (2.23%) 28 days 127.03% $22,702.50 Indicators Changed
2014-04-01 BUY 65.62 (74.81 / 59.71) 2014-04-07 SELL 63.39 -2.23 (-3.40%) 4 days 122.08% $22,207.77 Indicators Changed
2014-01-06 SHORT 65.93 (56.70 / 71.86) 2014-03-06 COVER 67.50 1.57 (-2.38%) 33 days 129.89% $22,989.02 Indicators Changed
2013-12-03 SHORT 64.70 (55.64 / 70.52) 2013-12-26 COVER 66.55 1.85 (-2.86%) 14 days 135.50% $23,549.82 Indicators Changed
2013-10-08 SHORT 59.17 (50.89 / 64.50) 2013-10-24 COVER 62.83 3.66 (-6.19%) 12 days 142.43% $24,243.01 Indicators Changed
2013-09-09 BUY 59.17 (67.45 / 53.84) 2013-10-03 SELL 60.45 1.28 (2.16%) 18 days 158.41% $25,841.45 Indicators Changed
2013-05-23 SHORT 56.93 (48.96 / 62.05) 2013-07-01 COVER 56.80 -0.13 (0.23%) 26 days 152.94% $25,294.27 Indicators Changed
2013-04-10 BUY 53.67 (61.18 / 48.84) 2013-04-15 SELL 52.98 -0.69 (-1.29%) 3 days 152.37% $25,236.64 Indicators Changed
2012-11-20 BUY 46.38 (52.87 / 42.21) 2013-03-13 SELL 52.89 6.51 (14.04%) 76 days 155.65% $25,565.32 Take Profits
2012-11-06 BUY 46.94 (53.51 / 42.72) 2012-11-07 SELL 46.39 -0.55 (-1.17%) 1 day 124.19% $22,418.60 Indicators Changed
2012-07-27 BUY 44.28 (50.48 / 40.29) 2012-10-23 SELL 46.06 1.78 (4.02%) 61 days 126.84% $22,684.39 Indicators Changed
2012-07-17 BUY 43.77 (49.90 / 39.83) 2012-07-23 SELL 43.11 -0.66 (-1.51%) 4 days 118.08% $21,807.75 Indicators Changed
2012-06-07 BUY 43.03 (49.05 / 39.16) 2012-07-11 SELL 43.02 -0.01 (-0.02%) 23 days 121.42% $22,141.62 Indicators Changed
2012-03-26 BUY 45.36 (51.71 / 41.28) 2012-05-16 SELL 43.48 -1.88 (-4.14%) 36 days 121.47% $22,146.76 Indicators Changed
2012-03-13 BUY 44.54 (50.78 / 40.53) 2012-03-22 SELL 44.60 0.06 (0.13%) 7 days 131.04% $23,104.35 Indicators Changed
2011-12-22 BUY 38.75 (44.17 / 35.26) 2012-02-15 SELL 42.41 3.66 (9.45%) 36 days 130.73% $23,073.27 Indicators Changed
2011-11-11 BUY 39.47 (45.00 / 35.92) 2011-12-14 SELL 38.06 -1.41 (-3.57%) 22 days 110.82% $21,082.04 Indicators Changed
2011-10-06 BUY 36.38 (41.47 / 33.11) 2011-11-09 SELL 38.14 1.76 (4.84%) 24 days 118.63% $21,863.06 Indicators Changed
2011-08-24 BUY 36.10 (41.15 / 32.85) 2011-09-28 SELL 36.19 0.09 (0.25%) 24 days 108.54% $20,854.17 Indicators Changed
2011-07-27 SHORT 40.04 (34.43 / 43.64) 2011-08-08 COVER 34.06 -5.98 (14.94%) 8 days 108.02% $20,802.31 Take Profits
2011-02-03 BUY 37.95 (43.26 / 34.53) 2011-05-16 SELL 40.02 2.07 (5.45%) 70 days 80.99% $18,099.18 Indicators Changed
2010-12-02 BUY 37.40 (42.64 / 34.03) 2011-01-28 SELL 37.10 -0.30 (-0.80%) 39 days 71.63% $17,163.02 Indicators Changed
2010-07-12 BUY 30.45 (34.71 / 27.71) 2010-10-13 SELL 34.50 4.05 (13.30%) 66 days 73.02% $17,301.80 Take Profits
2010-04-28 SHORT 34.79 (29.92 / 37.92) 2010-06-29 COVER 29.49 -5.30 (15.23%) 43 days 52.71% $15,270.72 Take Profits
2010-02-16 BUY 29.72 (33.88 / 27.05) 2010-04-09 SELL 33.97 4.25 (14.30%) 37 days 32.52% $13,251.89 Take Profits
2010-02-02 BUY 29.69 (33.85 / 27.02) 2010-02-04 SELL 28.85 -0.84 (-2.83%) 2 days 15.94% $11,593.94 Indicators Changed
2009-09-24 SHORT 27.14 (23.34 / 29.58) 2009-12-11 COVER 29.58 2.44 (-9.00%) 55 days 19.32% $11,931.51 Exit on STOP
2009-07-15 BUY 23.44 (26.72 / 21.33) 2009-08-14 SELL 25.88 2.44 (10.41%) 22 days 31.12% $13,111.55 Indicators Changed
2009-06-01 BUY 24.23 (27.62 / 22.05) 2009-06-23 SELL 22.21 -2.02 (-8.34%) 16 days 18.75% $11,875.38 Indicators Changed
2009-04-02 BUY 21.11 (24.07 / 19.21) 2009-05-05 SELL 23.92 2.81 (13.31%) 22 days 29.55% $12,955.45 Take Profits
2009-03-11 BUY 17.37 (19.80 / 15.81) 2009-03-23 SELL 19.86 2.49 (14.34%) 8 days 14.34% $11,433.51 Take Profits

 

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

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