stock
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NYSE:XOM
40.22
-0.59 (-1.43%)
As of 2020-11-27, 12:59 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 -
SELL
664
Filled
ACTION
TICKER
SHARES
STATUS

MatadorCapital Aalto Investment Management Game (Fall 2020) 3w

Changing energy sector strategy. | 10% short, 90% long. | Equal weight within short and long positions. |Short leg: 8 energy companies with highest carbon footprint tradeable in LON, Nasdaq or NYSE and Stockfuse | According to CAI 2019, 6 companies with biggest carbon footprint between in 1965 and 2017 tradeable in stockfuse + two companies with biggest carbon footprint in 2017 accoring to M.J. Bradley & Associates 2017 | #2 per CAI

[BUY]
3,500
Filled
ACTION
TICKER
SHARES
STATUS
SELL
306
Filled
ACTION
TICKER
SHARES
STATUS

alpha9000 Aalto Investment Management Game (Fall 2020) 3w

XOM, Part of our short position based on the fund’s momentum strategy. The company is in the bottom 25 of S&P500 YTD returns. We have used a 1% ($10k) allocation that we use equally for all of our short positions.

BUY
1,720
Filled
ACTION
TICKER
SHARES
STATUS

HottonCreekCapital Aalto Investment Management Game (Fall 2020) 3w

LONG |XOM |Company represents energy -industry, which we believe will endure the effects of the pandemic. HCC invests in carefully picked stocks that we believe will perform well despite the ongoing state of the world economy. Most stocks in our portfolio have distinct characteristics such as low P/B or low P/E and they are well established. Each stock has a weight of 3 to 8% in our portfolio.

SELL
200
Filled
ACTION
TICKER
SHARES
STATUS

dylan.bolduc FIN 353 UMaine Investment Strategy Fall 2020 4w

with election not sure what will happen with oil industy

BUY
30,326
Filled
ACTION
TICKER
SHARES
STATUS
BUY
1,820
Filled
ACTION
TICKER
SHARES
STATUS

EquityTradingFund Aalto Investment Management Game (Fall 2020) 4w

XOM, long position. Our fund's investment strategy is passive value investing. We focus on buying the stocks that have a high book-to-market ratio compared to its sector's peers from the S&P 100 list. Thus, following our strategy, this stock offers a good expected return on investment and a maximum weight of 5% ($60k) is allocated. This is in-line with our portfolio’s target leverage of 1.2.

SELL
14
Filled
ACTION
TICKER
SHARES
STATUS

theroc1 Stockfuse Continuum (US) Oct 2020

Automatic trade executed by Stockfuse to ensure margin compliance.

BUY
100
Filled
ACTION
TICKER
SHARES
STATUS
SELL
200
Filled
ACTION
TICKER
SHARES
STATUS
BUY
250
Filled
ACTION
TICKER
SHARES
STATUS
SELL
60
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
20
Filled
ACTION
TICKER
SHARES
STATUS
BUY
5,000
Filled
ACTION
TICKER
SHARES
STATUS
BUY
20
Filled
ACTION
TICKER
SHARES
STATUS

jalparks12 Stockfuse Continuum (US) Oct 2020

I want to diversify my portfolio by investing in multiple industries. The oil industry is a volatile market and has faced lots of challenges lately. I believe this a good time to buy because the stock is extremely cheap and can produce high returns if it starts to perform better in the near future.

BUY
1,000
Filled
ACTION
TICKER
SHARES
STATUS
BUY
40
Filled
ACTION
TICKER
SHARES
STATUS

elingenio0304 Stockfuse Continuum (US) Sep 2020

Apertura en una empresa aristócrata.

[SELL]
75
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
850
Filled
ACTION
TICKER
SHARES
STATUS
[SELL]
100
Filled
ACTION
TICKER
SHARES
STATUS
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