stock
None
NASDAQ:PSCH
137.50
-1.48 (-1.07%)
As of 2022-06-30, 10:57 AM (EST)
52 Week Rng -
Market Cap -
Avg Volume -
1M Volatility -
Short Ratio -
P/E Ratio (TTM) -
P/E Ratio (Fwd) -
P/B Ratio -
Div & Yield -
BUY
4
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
424
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
59
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
73
Filled
ACTION
TICKER
SHARES
STATUS
BUY
83
Filled
ACTION
TICKER
SHARES
STATUS
BUY
20
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
100
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
50
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
215
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
81
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
40
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
162
Filled
ACTION
TICKER
SHARES
STATUS
BUY
203
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
840
Filled
ACTION
TICKER
SHARES
STATUS

väiski OLD|Aalto Investment Management Game (Spring 2019) Feb 2019

Health Closing: Long positions on five Health industry ETFs. Health industry is not anymore among the three best performing sectors based on the Kenneth R. French data over the last 6 months.

BUY
2,000
Filled
ACTION
TICKER
SHARES
STATUS

group39 OLD|Aalto Investment Management Game (Spring 2019) Jan 2019

This transaction suits our strategy. Long position. Good historical returns. Well diversified. A leader in healthcare.

BUY
1,779
Filled
ACTION
TICKER
SHARES
STATUS

72bulls OLD|Aalto Investment Management Game (Spring 2019) Jan 2019

Long position investment on one of the five industry leading healthcare ETFs to achieve comprehensive exposure to health care sector. This equal weight position suits well our passive investment strategy.

BUY
3,000
Filled
ACTION
TICKER
SHARES
STATUS
BUY
3,000
Filled
ACTION
TICKER
SHARES
STATUS

e88888 OLD|Aalto Investment Management Game (Spring 2019) Jan 2019

Long position. Tracks the healthcare index. 3 year return 79,41%. New sector in portfolio.

BUY
125
Filled
ACTION
TICKER
SHARES
STATUS
BUY
840
×
ACTION
TICKER
SHARES
STATUS

väiski Stockfuse Continuum (US) Jan 2019

Long position on ETFs of the three best performing sectors based on the Kenneth R. French data over the last 6 months. The risk-adjusted return of health industry has outperformed the market over the last 6 months by 4.34 percentage points. Long positions are allocated $1.44M or 72% of buying power, of which $480k (33%) is spread evenly among five health ETFs.

more
AAPL NFLX AMZN GOOG CGC PSCT EIDO KRE IVV IAT
Market data provided by Xignite, BATS BZX Real-Time Price, and SIX Financial Information.