Saturday, October 27, 2012

October 28th 2011 Tracking Portfolio

October28th 2011 Tracking Portfolio

 Looks like a beautiful fall weekend in Connecticut as I sit here sipping my coffee. Of course we get the added excitement of Hurricane Sandy coming up the East Coast (can't she read a calendar???).  They have been talking about her on the news ad nauseum.  

As my faithful readers know, I have been tracking the Magic Formula Stocks as described by Joel Greenblatt in The Little Book That Beats the Stock Market since January 2006.  Every month I take the top 50 stocks over $100m market cap from his website and track how that portfolio of stocks fares versus the Ruseell 3000 for the next 12 months.  It has been an uphill struggle as the tracking portfolios have under-performed, driven in part by Chinese reverse merger fiascos, for-profit education stocks and home health care stocks all being proverbial albatrosses.

This month-end was sadly no different, going up a sad 0.4%, getting thrashed by the R3K, which was up a more respectable 11.5%!  Here are the 50 stocks in descending performance order:

 
Stock  Initial Price   End Price  Percent Change  52 week low   Mkt Cap 
GTIV                4.50             9.50 111.1%                 3.52           133
CRAY                6.82           12.22 79.2%                 5.29           244
MDF                6.70           11.02 64.5%                 6.12           277
PRX              31.72           50.00 57.6%  N/A          1,144
LPS              17.41           27.33 57.0%                14.09         1,497
PDLI                5.61             8.07 43.9%                 5.76           854
DLX              22.70           31.30 37.9%                19.79         1,247
OSK              21.89           29.92 36.7%                18.00         2,001
RTN              42.00           55.71 32.6%                42.00       15,475
VPHM              20.60           26.05 26.5%                18.80         1,496
MIPS                5.76             7.24 25.7%                 3.91           279
ASTX                2.05             2.55 24.4%                 1.51           124
NOC              55.93           68.02 21.6%                52.69       15,306
HRB              14.67           17.75 21.0%                14.35         4,672
CHKE              12.32           14.74 19.6%                10.15           117
LHCG              16.00           17.71 10.7%                12.34           290
PETS                9.75           10.75 10.3%                 8.91           216
EGY                7.29             7.95 9.1%                 5.13           422
VECO              28.13           30.37 8.0%                20.35         1,167
MSFT              26.26           28.21 7.4%                24.30     229,173
MNTA              12.24           13.14 7.4%                12.83           629
AFAM              19.64           20.82 6.0%                12.50           178
CPIX                5.82             6.04 3.8%                 5.26           117
DLB              30.74           30.74 0.0%                27.27         3,418
KLIC              10.04             9.89 -1.5%                 8.05           764
UNTD                5.65             5.50 -2.7%                 3.63           532
TSRA              14.48           14.07 -2.8%                12.77           762
TER              15.02           14.50 -3.5%                11.68         2,712
NVMI                7.78             7.21 -7.3%                 5.48           195
USMO              12.38           11.16 -9.9%                10.71           300
AMAT              12.25           10.65 -13.1%                 9.97       16,522
CPLA              36.62           31.74 -13.3%                25.81           524
LTXC                6.51             5.64 -13.4%                 4.91           337
PWER                4.91             4.11 -16.3%                 3.51           511
GNI              90.45           74.75 -17.4%                58.90           157
PRSC              12.62           10.14 -19.7%                 9.56           170
TNAV                9.03             7.15 -20.8%                 5.05           401
SNDK              53.38           42.23 -20.9%                30.99       12,442
AMED              13.95           11.01 -21.1%                 9.12           410
CMTL              32.16           25.33 -21.2%                25.02           816
STRA              83.90           57.76 -31.2%                55.03         1,070
VG                3.41             2.24 -34.3%                 1.63           763
MANT              34.83           22.33 -35.9%                19.74         1,389
GTAT                8.95             5.12 -42.8%                 3.92         1,084
DELL              16.18             9.24 -42.9%                 9.19       29,931
HPQ              27.31           14.09 -48.4%                13.94       54,034
MPAA              10.14             4.61 -54.5%                 3.96           127
APOL              48.16           19.72 -59.1%                19.18         6,486
ESI              66.87           21.49 -67.9%                21.21         1,822
CECO              17.15             3.31 -80.7%                 3.05         1,326

Feel like we have heard this song before? Just looking at bottom three, I think we can fairly state that for Profit Education was a drag. But they had plenty of company.

Here is a listing of every monthly portfolio I have tracked.

 
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 16.7% 25.7%
7/29/2010 5.4% 20.1%
9/2/2010 7.3% 10.1%
9/24/2010 -4.3% 0.3%
10/29/2010 -2.9% 10.4%
11/26/2010 -8.5% 1.4%
1/3/2011 -11.4% 0.1%
1/28/2011 -7.6% 4.9%
2/25/2011 -5.5% 5.0%
3/24/2011 -4.4% 7.4%
4/21/2011 -16.0% 3.2%
5/27/2011 -12.0% -0.4%
6/24/2011 -9.5% 5.0%
7/29/2011 -4.3% 8.1%
8/26/2011 12.0% 21.6%
9/30/2011 23.5% 27.3%
10/28/2011 0.4% 11.5%
11/25/2011 16.5% 23.8%
12/29/2011 7.5% 13.4%
1/27/2012 0.2% 7.9%
2/24/2012 -2.3% 3.8%
3/23/2012 -3.3% 1.6%
4/27/2012 0.6% 1.1%
5/25/2012 3.9% 7.6%
6/22/2012 4.9% 6.6%
7/27/2012 2.4% 2.6%
8/24/2012 -1.9% 0.5%
9/28/2012 -3.8% -1.7%
Grand Total 4.6% 5.0%

You will note the sad fact that this is the 22snd straight portfolio to lose (that is hard to do... it ain't random) and remarkably all 11 open portfolios are trailing as well.  Maybe we should buy a dartboard instead of using this?  Or maybe we should SHORT all these stocks?  Hmmm.

Subsets

I also keep 2 subsets of the larger portfolios:  (1) dividend stocks (those with a yield per Yahoo of at least 2.6%) and (2) new stocks (those new to the tracking portfolios in past 12 months.  The dividend portfolio was decent, up about 8.6%.  The new portfolio was just okay, up 6.6%.  Finally, I like to track cash as it is more "honest" than percentages as if you go up by 25% and then down by 25%, that is a different result than up by 5% then down by 5%.  So I track what you would have to day if you had spread $100,000 over the first twelve portfolios evenly.

 
 
Category Value
Total   112,870
Total New   110,926
Total Dividend   249,649
Total Russell 3K   125,858

That is real money, down 13% overall of R3K.  More Later!

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