stock
None
NYSE:ORCL
75.95
+0.33 (+0.43%)
As of 2021-04-12, 02:52 PM (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
11
Filled
ACTION
TICKER
SHARES
STATUS

thebitstick Stockfuse Continuum (US) 3d

Automatic trade executed by Stockfuse to ensure margin compliance.

BUY
665
Filled
ACTION
TICKER
SHARES
STATUS
BUY
200
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
50
Filled
ACTION
TICKER
SHARES
STATUS
BUY
1,000
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
110
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
4,000
Filled
ACTION
TICKER
SHARES
STATUS
BUY
5
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
300
Filled
ACTION
TICKER
SHARES
STATUS
BUY
10
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
15,400
Filled
ACTION
TICKER
SHARES
STATUS
SELL
50
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
300
Filled
ACTION
TICKER
SHARES
STATUS
BUY
1
Filled
ACTION
TICKER
SHARES
STATUS

Wäinö Aalto Investment Management Game (Fall 2020) Nov 2020

Rebalancing trade. Long-term buy-and-hold brand value -strategy | Value-weighted | Target leverage ratio: 1.8

[SELL]
2
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
928
Filled
ACTION
TICKER
SHARES
STATUS
SELL
330
Filled
ACTION
TICKER
SHARES
STATUS

Stonkmaster1234 Aalto Investment Management Game (Fall 2020) Nov 2020

Adjusting position size to be better in line with the exposure limit of 5% of Securities GPV

BUY
10
Filled
ACTION
TICKER
SHARES
STATUS
BUY
2
Filled
ACTION
TICKER
SHARES
STATUS
BUY
421
Filled
ACTION
TICKER
SHARES
STATUS

basket1230 Aalto Investment Management Game (Fall 2020) Nov 2020

50 stocks in Information Technology sector with the lowest ESG Sustainalytics risk scores. Equal weighing. Long position. Historical growth within the sector has been high within the last 10 years and demand is forecasted to increase. Firms having a good ESG Sustainalytics have been found to outperform those that do not. Rank:42. ESG Risk rating: Low.

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