TtP-S Alerts |
As of: 05/16/13 11:54 Ver 2.2 Fmt 1 |
Note: This is experimental, meaning it might or might not work, and scheduling is…random? Pete A |
TtP-S Alert Subscription Management |
Positions: |
Open |
Closed |
Combined |
Full Cost of Positions $ |
29,244.40 |
597,022.77 |
626,267.17 |
Position Value Mark to Market $ |
28,153.72 |
614,873.27 |
643,026.99 |
Gross Profit (M2M-Incl Dividends) $ |
-1,090.68 |
17,850.50 |
16,759.82 |
Avg Trading Days Held |
125 |
30 |
36 |
Max Trading Days Held |
319 |
359 |
359 |
ROI: Geometric, Cap Wtd, Annualized |
-0.76% |
12.43% |
11.68% |
Simple % Gain or Loss INCL Divs |
-3.73% |
2.99% |
2.50% |
Simple % Gain or Loss EXCL Divs |
-4.55% |
2.66% |
2.32% |
XIRR() Internal Rate of Return |
-12.08% |
45.9% |
36.1% |
Averaged ANNUALIZED ROI/Trade |
-0.76% |
12.43% |
11.68% |
Total Commissions $ |
-20,008.00 |
-446.15 |
-462.15 |
Commissions as a % of Profits |
-0.73% |
1.26% |
2.76% |
Total Dividends Earned $ |
384.74 |
1,967.01 |
2,351.75 |
Dividends as % of Total Profits |
35.3% |
11.0% |
14.0% |
Dividend Yield on Invested Capital |
5.03% |
|
|
Current Dividend Yield |
5.58% |
|
|
Expected Dividends per Year $ |
1,470.89 |
|
|
Average Quality Rating |
3.41 |
3.40 |
3.40 |
Average Calendar Days Held |
181 |
30 |
35.6 |
Avg Trading Days Held |
172 |
21 |
24.6 |
Max Trading Days Held |
462 |
248 |
462 |
Avg Profit Target (PT) % |
2.72% |
2.74% |
2.74% |
Min Profit Target (PT) % |
1.50% |
0.75% |
0.75% |
MaxProfit Target (PT) % |
4.00% |
6.00% |
6.00% |
Positions Count |
8 |
222 |
230 |
Avg Sector Count (Positions/Sector) |
2.0 |
|
|
Today’s Daily Gain/Loss $ |
111.59 |
20.75 |
55.61 |
|
|
|
|
As of Today — Other |
Portfolio Age (Calendar Days) |
604 |
Current Total Capital $ |
100,000.00 |
Time Weighted Capital $ |
87,003.31 |
% Capital Used |
29.2% |
% Capital Idle |
70.8% |
$ At Risk $ |
29,244.40 |
Next Buy Size $ |
4,952.89 |