The May 2010 was not a winner, at least on a relative basis. It was up 19.3% versus 25.4% for the Russell 3000. The portfolio had two stocks (SOLR and CF) with gains over 100%. The bane of the portfolio was the three Chinese RTOs (CSKI, UTA and CEU). Yes I am familiar with those names.
Stock | Initial Price | End Price | Pct Change | 52 week low | Mkt Cap |
CF | 68.36 | 155.19 | 127% | 57.56 | 3,332 |
SOLR | 5.46 | 11.53 | 111% | 4.96 | 785 |
ENDP | 20.94 | 41.52 | 98% | 20.16 | 2,439 |
CBI | 19.84 | 37.49 | 89% | 16.64 | 2,004 |
SNTA | 3.13 | 5.83 | 86% | 2.55 | 127 |
CBST | 21.50 | 38.29 | 78% | 20.08 | 1,252 |
LO | 68.35 | 114.96 | 68% | 70.24 | 10,938 |
MRX | 22.97 | 37.55 | 63% | 21.02 | 1,350 |
IDCC | 26.05 | 42.32 | 62% | 23.73 | 1,146 |
RAI | 24.46 | 39.49 | 61% | 25.22 | 15,196 |
MHP | 27.21 | 42.20 | 55% | 26.95 | 8,771 |
VPHM | 12.17 | 18.86 | 55% | 10.29 | 947 |
PDLI | 4.28 | 6.58 | 54% | 4.66 | 642 |
PPD | 46.32 | 66.27 | 43% | 44.01 | 464 |
FWLT | 24.01 | 33.89 | 41% | 20.33 | 3,061 |
FRX | 25.88 | 35.78 | 38% | 24.17 | 7,826 |
RGR | 15.45 | 21.11 | 37% | 12.66 | 301 |
IPXL | 21.08 | 27.18 | 29% | 14.70 | 1,317 |
TNDM | 13.44 | 16.89 | 26% | 9.87 | 444 |
CBPO | 12.89 | 16.10 | 25% | 9.31 | 297 |
CNU | 3.87 | 4.82 | 25% | 3.25 | 233 |
USMO | 12.58 | 15.62 | 24% | 12.20 | 312 |
NSR | 21.39 | 26.54 | 24% | 20.20 | 1,602 |
GME | 22.79 | 28.21 | 24% | 17.70 | 3,484 |
IMMU | 3.48 | 4.30 | 24% | 2.81 | 262 |
DLX | 20.74 | 25.50 | 23% | 16.57 | 1,102 |
JCOM | 23.14 | 28.27 | 22% | 21.00 | 1,025 |
EME | 24.97 | 30.22 | 21% | 22.29 | 1,655 |
UIS | 23.20 | 27.70 | 19% | 17.04 | 986 |
SNTS | 2.89 | 3.34 | 16% | 2.09 | 169 |
TTT | 7.24 | 7.81 | 8% | 6.60 | 302 |
TSRA | 17.38 | 17.19 | -1% | 14.96 | 872 |
RTN | 50.73 | 50.03 | -1% | 42.65 | 19,832 |
CHKE | 19.47 | 19.06 | -2% | 15.72 | 181 |
ELNK | 8.07 | 7.84 | -3% | 7.61 | 927 |
AHCI | 2.67 | 2.55 | -4% | 1.86 | 121 |
UNTD | 6.41 | 5.93 | -7% | 4.75 | 590 |
AFAM | 36.37 | 30.48 | -16% | 23.50 | 333 |
VALU | 16.97 | 14.07 | -17% | 12.92 | 198 |
PRSC | 16.39 | 13.29 | -19% | 11.88 | 212 |
OSK | 35.53 | 27.79 | -22% | 24.63 | 3,186 |
APOL | 53.16 | 40.22 | -24% | 33.75 | 8,059 |
CHOP | 6.06 | 4.41 | -27% | 4.26 | 254 |
ARO | 27.71 | 19.08 | -31% | 17.06 | 2,605 |
AMED | 49.72 | 31.11 | -37% | 22.82 | 1,414 |
UEPS | 14.32 | 8.36 | -42% | 7.29 | 650 |
CYTK | 2.94 | 1.43 | -51% | 1.20 | 184 |
UTA | 8.36 | 3.96 | -53% | 3.25 | 142 |
CEU | 4.30 | 1.02 | -76% | - | 129 |
CSKI | 12.66 | 2.83 | -78% | 2.73 | 213 |
Every Tracking Portfolio Back to January 2006
Below I list how every tracking portfolio has performed back to January 2006. I have two "sub" portfolios, one I call "New", which only has stocks that were not in any of the prior 11 portfolios and "Dividend", which has stocks with dividends (per Yahoo Finance) > 2.59%. I then show all three of those portfolios as if you had invested $100,000 equally over the first 12 months. I do this as Average Percentages are not reliable. If You go down by 50% and then up by 50%, you are much worse off than down 10% and up 10%. Volatility matters.
Average of Percent Change | ||
Date | Total | IWV |
1/6/2006 | 16.0% | 10.9% |
2/17/2006 | 21.2% | 14.6% |
3/29/2006 | 13.0% | 9.6% |
4/7/2006 | 10.3% | 12.1% |
5/12/2006 | 20.4% | 18.6% |
5/31/2006 | 29.2% | 23.3% |
6/30/2006 | 22.4% | 20.0% |
7/31/2006 | 19.7% | 17.3% |
8/31/2006 | 13.0% | 13.3% |
9/28/2006 | 12.7% | 14.6% |
10/27/2006 | 10.3% | 12.0% |
11/29/2006 | -0.3% | 4.8% |
12/28/2006 | -6.9% | 3.4% |
1/26/2007 | -10.2% | -6.6% |
2/27/2007 | -3.7% | -1.0% |
3/26/2007 | -9.8% | -5.5% |
4/27/2007 | -10.9% | -5.0% |
5/29/2007 | -11.5% | -6.3% |
7/3/2007 | -30.0% | -15.6% |
7/30/2007 | -19.9% | -11.5% |
8/30/2007 | -12.5% | -8.7% |
9/27/2007 | -19.0% | -18.2% |
11/2/2007 | -40.4% | -34.3% |
11/28/2007 | -40.1% | -38.3% |
12/28/2007 | -36.3% | -40.0% |
1/25/2008 | -36.4% | -35.9% |
2/26/2008 | -51.7% | -41.5% |
3/24/2008 | -40.9% | -36.8% |
4/25/2008 | -25.6% | -31.0% |
5/28/2008 | -22.2% | -33.6% |
7/2/2008 | -11.7% | -25.3% |
7/29/2008 | -10.5% | -20.9% |
8/29/2008 | -13.8% | -17.9% |
9/26/2008 | -4.3% | -10.0% |
10/31/2008 | 18.7% | 13.9% |
11/26/2008 | 50.9% | 27.7% |
12/26/2008 | 48.9% | 32.3% |
1/23/2009 | 59.3% | 36.4% |
2/27/2009 | 92.8% | 55.6% |
3/27/2009 | 85.8% | 48.1% |
4/24/2009 | 69.7% | 45.8% |
5/29/2009 | 31.8% | 22.8% |
6/29/2009 | 21.3% | 24.0% |
7/29/2009 | 19.5% | 15.9% |
8/28/2009 | 7.4% | 8.8% |
9/25/2009 | 12.6% | 12.4% |
10/30/2009 | 22.7% | 18.3% |
11/27/2009 | 24.3% | 13.6% |
12/31/2009 | 23.7% | 18.1% |
1/22/2010 | 19.0% | 20.6% |
2/26/2010 | 18.6% | 23.6% |
3/25/2010 | 10.0% | 15.4% |
4/23/2010 | 7.1% | 11.4% |
5/28/2010 | 19.3% | 25.4% |
6/29/2010 | 24.6% | 31.8% |
7/29/2010 | 15.0% | 24.6% |
9/2/2010 | 30.2% | 25.6% |
9/24/2010 | 22.9% | 19.1% |
10/29/2010 | 15.4% | 14.9% |
11/26/2010 | 14.0% | 13.7% |
1/3/2011 | 5.8% | 5.9% |
1/28/2011 | 2.3% | 5.7% |
2/25/2011 | 2.9% | 1.7% |
3/24/2011 | 2.0% | 2.3% |
4/21/2011 | -0.5% | -0.2% |
Grand Total | 7.9% | 5.7% |
Closed | 7.1% | 4.1% |
Open | 12.2% | 13.2% |
Category | Value |
Total | 125,790 |
Total New | 117,231 |
Total Dividend | 230,034 |
Total Russell 3K | 117,574 |
Clearly it has been a winning strategy to go with the dividend stocks. Here are the dividend stocks that just expired:
Stock | Initial Price | End Price | Percent Change |
LO | 68.35 | 114.96 | 68% |
RAI | 24.46 | 39.49 | 61% |
MHP | 27.21 | 42.20 | 55% |
PDLI | 4.28 | 6.58 | 54% |
USMO | 12.58 | 15.62 | 24% |
DLX | 20.74 | 25.50 | 23% |
CHKE | 19.47 | 19.06 | -2% |
ELNK | 8.07 | 7.84 | -3% |
UNTD | 6.41 | 5.93 | -7% |
VALU | 16.97 | 14.07 | -17% |
Tobacco did very well. Overall up 25.6%.
May 27th 2011 Portfolio
If you are playing along at home, I have also just set-up my May 27th 2011 portfolio. Here are the "new" stocks... there are quite a few:
Date | Stock | Initial Price | End Price |
5/27/2011 | USNA | 29.4 | 29.4 |
5/27/2011 | PRX | 33.62 | 33.62 |
5/27/2011 | NVMI | 10.18 | 10.18 |
5/27/2011 | LRCX | 45.96 | 45.96 |
5/27/2011 | LTXC | 9.18 | 9.18 |
5/27/2011 | KLIC | 11.59 | 11.59 |
5/27/2011 | ESI | 70.87 | 70.87 |
5/27/2011 | DEPO | 8.63 | 8.63 |
5/27/2011 | CRAY | 6.23 | 6.23 |
5/27/2011 | CSCO | 16.46 | 16.46 |
Here are the dividend stocks...
Date | Stock | Initial Price | End Price |
5/27/2011 | UNTD | 5.93 | 5.93 |
5/27/2011 | USMO | 15.62 | 15.62 |
5/27/2011 | STRA | 120.68 | 120.68 |
5/27/2011 | RLRN | 10.74 | 10.74 |
5/27/2011 | RTN | 50.03 | 50.03 |
5/27/2011 | PETS | 12.65 | 12.65 |
5/27/2011 | PDLI | 6.58 | 6.58 |
5/27/2011 | GNI | 100.22 | 100.22 |
5/27/2011 | DLX | 25.5 | 25.5 |
5/27/2011 | CMTL | 27.86 | 27.86 |
5/27/2011 | CHKE | 19.06 | 19.06 |
5/27/2011 | HRB | 15.97 | 15.97 |
Mechanical Portfolio Update
Finally, to cap off my lengthy month-end blog, I also add every week to 2 mechanical portfolios (with links for you in the left margin). The first is new stocks each week to the top 30 from the official list in the past 52 weeks. The second are new stocks to the top 50 (both 50m +). There were some new stocks this week. To the top 30, DELL and NVMI showed up for the first time in the past year. I own both of them, so hopefully that will augur well. Then LRCX made the top 50 list. It seems we're seeing a lot of semi-conductor equipment firms (NVMI, LRCX, KLAC to name a few) hitting the lists of late.
3 comments:
Marsh,
You may want to add another reference point for performance comparison: an equal-weighted mid-cap index fund; or at least an equal-weighted S&P index fund. That would be more inline what the MFI's a priori selection criteria.
That is a good idea. Do you know a stock symbol?
MG
I have posted the stock symbols in MFI board before. I will post it again.
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