Archive Weekend Stock Picks (before 9/15/2007)

RULES OF THUMB ON STOCK PICKS 

TO-DATE:  $79,893!

Sunday Night 4/25/2004:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
BRCM 44.50 52 43.60    
QCOM 70 75 68    
EBAY Short under 80 73.25 81    
UNIZ 25 26 24.5    
           
        TOTAL FOR PERIOD  

Sunday Night 4/14/2004:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
BRCM 44.50 52 43.60 no  
QCOM 70 75 68 no  
EBAY 75.5 78.75 73.5 yes $3,250
UNIZ 25 26 24.5 no  
           
        TOTAL FOR PERIOD $3,250

Sunday Night 2/15/2004:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
BRCM 41.5 50 hold for several wks. Stop 37 B 41.5 1/27; Stop 37 on 3/26 <$4500>
QCOM 58.5 63 57 58.5; sell @ 63 $4,500
EBAY 68.70 71 66.93 B 68.7 2/11; sell 71. $2,300
ABFS 30 32 29 no  
LANV 3.6 4.5 3.16 no  
        TOTAL FOR PERIOD $2,300

Sunday Night 2/8/2004:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
BRCM 41.5 50 hold for several wks. Stop 37 B 41.5 1/27; holding  
QCOM 58.5 63 57 no  
EBAY 68.70 71 66.93 B 68.7 2/11; holding  
AMZN 53.48 56.47 52 no  
IBOC 51.14 53 50 B 51.14 2/9; S 54.25 2/13 $3110
        TOTAL FOR PERIOD $3110

Sunday Night 2/1/2004:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
BRCM 41.5 50 hold for several wks. Stop 37 B 41.5 1/27; holding  
QCOM 61.26 87 hold for several wks. Stop 58. Stop hit 57. <4126>
EBAY 68.70 71 66.93 no  
AMZN 53.48 56.47 52 no  
IBOC 51.14 53 50 B 51.14 S 51.40 260
        TOTAL FOR PERIOD <$3866>

Sunday Night 1/25/2004:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
BRCM 41.5 50 hold for several wks. Stop 37 41.5 1/27; holding  
UNIZ 23.00 25.00 22.00 B 23 on 1/26; S 25 on 1/27. $2000
EBAY 70 73.5 68 no  
AMZN 57.5 60 56 B 57.5 on 1/27; S 56 on 1/27 -$1500
        TOTAL FOR PERIOD $500

Sunday Night 12/14/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
QCOM 49.9 60 hold for several wks. Stop 47 49.9; sold 1/13/04 @ $60 $10,100
        TOTAL FOR PERIOD $10,100

Sunday Night 11/23/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
QCOM 46 60 hold for several wks. Stop 47 46 $3,500
BTX 2 2.60 1.60 no  
LANV 2.60 3 2.26 2.60 $900
IBOC 47.26 52 46 no  
UNIZ 21.26 21.56 20.37 no  
        TOTAL FOR WEEK $4,400

Sunday Night 11/16/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
QCOM 50 60 hold for several wks. Stop 47 no  
AACE mkt 21.5 20 buy 20.3; stop out @ 20 -$300
AAII 19.2 22.25 18.5 no close above  
AAON 19.94 21 19.54 no close above  
ABC 65 68.25 63.7 no close above  
        TOTAL FOR WEEK -$300

Sunday Night 11/10/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
INTC 33.79 34.50 32.76 exit 32.80 -$990
AMAT 25.17 26.0 23.84 exit 23.84 -$1,330
LLTC 43.99 46.15 42.01 exit 42.40 -$1,590
TXN 30.68 32.69 29.00 exit 29 -$1,680
MXIM 51.12 52.98 48.92 exit 52.12 -$1,000
        TOTAL FOR WEEK -$6,590

Sunday Night 10/26/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
PFDE 1.12   .9866 10/30@1.13 to 10/31 @ 1.22 $100
WLP 83.63 87.81 81.95 10/27 @ 92.50 to 10/31 @ 90 -$250
TARO          
USNA 34.81 36.55 30.39 to 36.24 $1740
QCOM 45 47.25 42.70 to 10/31 @ 47.49 $2490
        TOTAL FOR WEEK $4,080

Sunday Night 10/19/2003:

Symbol Buy if Breakout Goal StopLoss Closed At Profit/Loss
NYB 33.03 33.46 30.75 34.29 $1260
TARO 64.09 64.03 61.01 62.89 -$1200
QCOM 45.09 44.43 43.26 44.20 -$890
WLP MKT=82.67 84.10 79.18 83.93 $1260
USNA MKT=29.17 62.90 53.05 31.42 split $4500
        TOTAL FOR WEEK $4930

Sunday Night 10/12/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
IBXG 0.14 0.18 0.14 no  
TDST 0.1335 0.20 0.14 exit Fri @0.21 $76.50
QCOM 46.00 48.27 47 no  
JDSU 4.06 4.20 3.85 no  
HPQ 21.50 22.08 20.54 buy 21.50 10/15; exit 20.95 on 10/17 -$550
        TOTAL FOR WEEK -$473.50

Sunday Night 10/05/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
EIDSY 2.40 2.52 2.28 yes; close 10/10:2.55 $150
QCOM market 45.00 42.78 43.75; 44.31 $560
COLT 6.85 7.50 6.37 no
JDSU 3.99 4.07 3.85 no  
HPQ 21.07 23 19.29 10/9@21.07;close 10/10 @21.05 -$20
        TOTAL FOR WEEK

$690

Sunday Night 9/21/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
OCR 33.77 34.80 32.73 9/22 @ 33.77; exit  35.46 9/25 $1,690
WPC 32.90 33.35 30.75 9/22 @ 32.90; exit 32.08 Fri -$820
URI 18.23 23.86 16.42 no  
TIER 10.32 14.71 9.25 no  
CALM 7.28 7.60 7.03 no
(made it the nxt wk)
 
        TOTAL FOR WEEK $870

Sunday Night 09/07/2003 thru 9/19/2003:

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
COF 55.90 62.30 51.82 9/9 @ 55.90; exit 9/19 @ 61.60 $5,700
WLP 80.18 86.63 75.55 9/8 @80.18; exit 9/10 @ 80.95 $770
THO 57.17 62.00 52.06 9/18 @ 57.17; exit 9/19 @ 58.20 $1,030
UVN 38.60 44.00 35.50 no  
TARO 53.97 58.89 50.28 9/10 @ 53.97; exit 9/19/@ 58.47 $4,500
        TOTAL FOR WEEK $12,000

Sunday Night 08/24/2003 thru 9/5/2003

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
SNTO 2.94 5.65 2.60 no  
IBM 84.71 88 80.68 84.71 on 9/2; exit 9/5 at 86.75 $2,040
SRCL 48.50 49.42 45.04 9/2 @ 48.50; exit 9/4 @ 49.19 $690
PSUN 32.34 32.78 29 8/26 @ 32.34; exit 8/28 @ 34.35 $2,010
LYNX 4.17 5.26 2.95 no  
        TOTAL FOR WEEK $4,740

Sunday Night 08/03/2003

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
VSAT 16.99 25 12.77 no  
USEY at market 4 1.50 1.65; close 1.67 8/22 $20
FORR 17.53 24 16.13 no  
BBDC 8.99 10.5 8.20 8.99 on 8/20 ;close 9.75 fri 22 $760
MDSI 5.22 7.65 4.70 no  
        TOTAL FOR WEEK $780

Sunday Night 07/27/2003

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
URI 15.45 20 11.84 no  
RTN 33.36 41 28.62 no  
MNST 26.65 26.88 17.67 no (closes only, remember)  
COLT 5.33 8.92 2.49 5.52 on 7/29; close 5.34 on Friday -$180
IMY 12.52 14.96 10.59 no  
        TOTAL FOR WEEK -$180

Sunday Night 07/06/2003

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
DRIV at market 26.00 20.00 22.84 $3,160
DELL 32.77 36.00 31.00 32.77 on 7/7 - 33.56 on 7/11 $790
AMTD at market 10.00 7.31 8.10 on 7/7 - 8.55 on 7/11 $450
XRIT at market 12.00 10.00 11.00 on 7/7 - 11.02 on 7/11 $20
EBAY at market 117 104.00 111.46 on 7/7; 113.07 on 7/11 $1,610
       

Weekly Total:

$6,030

Sunday Night 6/22/2003 Picks

Symbol Buy if Breakout Goal StopLoss Entered? Profit/Loss
PIXR 62.39 64.39 60.39 no  
SIAL 55 57 53 no  
SNPS 64.20 70 62.20 no  
PETM 18.56 20.56 18 no  
PAYX 32.00 36 28.82 no  
       

Weekly Total:

$0

 

Tuesday Night 5/27/2003 (post-holiday; good thru Friday 5/30/2003)

Symbol Breakout Goal StopLoss Close if Trade was Triggered Profit/Loss

TOTAL

AA 24.33 27.52 23.26 Broke above on 5/28. Sell on 6/20/2003 at 26.23 on bearish RSI. $1,900
AXP 40.16 43.35 38.99 Broke above on 5/23.  Hit goal on 6/05/2003.  3.19 points $3,190
MCD 18.53 21.58 16.01 Broke above on 5/29. Sell at goal on 6/10/2003.

3.05 points

$3,050
EBAY market Buy n Hold 90 Market at 99.77 at open on Tuesday Sell at 103.48 on 6/18/2003 on divergent RSI;

13.48 points.

 $13,480
PG 92 95 87.49 Entered at 92.01 on Thursday; Exit Friday afternoon at 91.82; loss -$190. Exit 6/20/2003 on divergent RSI at 91.23 -$190
      TOTAL FOR WEEK   $21,430 

Sunday Night 5/11/2003 thru Fri 5/16

Symbol Breakout Goal StopLoss Close if Trade was Triggered Profit/Loss
HSIC 50.42 55 53.9 not entered 0
SIAL 52.70 53.75 49.45 not entered 0
CHRW at market 39.7 35.39 market at 37.72 on 5/12/03. Exit at 38.46 as price leaves top Sunny_Band. $740
PIXR 60.05 65 58.84 not entered 0
        TOTAL FOR WEEK $740

Sunday Night 5/4/2003 thru 5/9/2003

Symbol Breakout Goal StopLoss Close if Triggered Profit/Loss
JDSU 3.20 3.50 2.89 Buy on 5/5 at 3.20; sold on 5/6 at 3.50 $300
ROST 38.55 41.75 34.89 Buy on 5/5 at 38.55; sold on 5/8 at 40.04 as price backed off SBs. $1,490
XRAY 37.21 38.62 35.05 Didn't break above.  Not entered.  
MNST 18 25.35 11.89 Buy on 5/6 at 18; exit on 5/6 at 17.90 as price backed off SBs. -$100
QLGC 44.38 56.50 37.54 Buy on 5/5 at 44.38; exit at 45.64 on 5/5 as price backs of SBs. $1,260
        TOTAL $2,950

Sunday Night 3/16/2003 thru 3/21/2003

Symbol Breakout Stop Loss Goal on 18th at 69.12 Close if Triggered Profit/Loss
ADBE 31.34 29 34 Buy on 3/17 at 31.34; Exit 3/17 at 32.97 as price backs of SBs. $1,630
ADI 30 26 35 Buy on 3/17 at 30; exit 3/17 at 30.48 as price backs off SBs. $480
AGN 67.13 65.19 73 Buy on 17th at 67.13; Exit on 18th at 69.12 as price backs off SBs. $1,990
AMGN at market 53.55 62.74 Buy at market 57.30; Exit on 17th at 58.31 as price backs off SBs. $1,010
APOL at market 44.13 53 Buy Mkt at 47.93; Exit 3/17 at 48.80 as price backs off SBs. $870
AXP at market 33.48 38.21 33.48; Exit on 3/17 at 35.18 as price backs off SBs. $1,700
BBBY at market 32.42 37.55 33.59; Exit on 17th at 34.88 as price backs off SBs $1,290
BSC 63.83 59.52 66.30 Buy on 18th at 63.83; Exit on 19th at 64.92 as price backs off SBs. $1,090
CMCSA 29.66 27.05 32.00 Buy on 17th at 29.66; Exit on 17th at 29.47 as price backs off SBs. -$190
TOTAL $8,403

RULES OF THUMB FOR STOCK PICKS:

1.  Stock picks are given on Sunday night and are only valid for the following week, or until the next posted weekend stock picks.

2.  I close open stock holdings at 5% profit (or greater), or Friday afternoon--whichever comes first. 

3.  I close a stock if price hits the upper Sunny_Band with profit in the move.

4.  I buy when the "Breakout" price is met or exceeded.

5.  I exit on a loss if the "Stop Loss" is ever hit.

6.  I exit a stock if RSI ever becomes divergent with price and price has risen to give me a profit of any amount.

7.  I exit a position if the stock moves back down with the 15min bar under the top Sunny_Bands (SBs).

 

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DISCLAIMERS:

Statistics, tables, charts and other information on trading system monthly performance is hypothetical unless otherwise specified, and is based on the referenced systems hypothetical monthly performance as it would be executed through TradeStation Securities if per the contract/account balance and other specifications noted in the performance tables. Actual dollar and percentage gains/losses experienced by investors would depend on many factors not accounted for in these hypothetical statistics, including, but not limited to, starting account balances, market behavior, incidence of split fills and other variations in order execution, and the duration and extent of individual investor participation in the specified system. Fees, commissions, and other expenses are not accounted for herein, and will affect investors net results in actual trading. While the information and statistics given are believed to be complete and accurate, given the hypothetical specifications, we cannot guarantee their completeness or accuracy. THIS INFORMATION IS PROVIDED FOR EDUCATIONAL/ INFORMATIONAL PURPOSES ONLY. These results are not indicative of, and have no bearing on, any individual results that may be attained by the trading system in the future. PAST OR HYPOTHETICAL PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS.

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HYPOTHETICAL PERFORMANCE RESULTS HAVE MANY INHERENT LIMITATIONS, SOME OF WHICH ARE DESCRIBED BELOW. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFITS OR LOSSES SIMILAR TO THOSE SHOWN; IN FACT, THERE ARE FREQUENTLY SHARP DIFFERENCES BETWEEN HYPOTHETICAL PERFORMANCE RESULTS AND THE ACTUAL RESULTS SUBSEQUENTLY ACHIEVED BY ANY PARTICULAR TRADING PROGRAM. ONE OF THE LIMITATIONS OF HYPOTHETICAL PERFORMANCE RESULTS IS THAT THEY ARE GENERALLY PREPARED WITH THE BENEFIT OF HINDSIGHT. IN ADDITION, HYPOTHETICAL TRADING DOES NOT INVOLVE FINANCIAL RISK, AND NO HYPOTHETICAL TRADING RECORD CAN COMPLETELY ACCOUNT FOR THE IMPACT OF FINANCIAL RISK OF ACTUAL TRADING. FOR EXAMPLE, THE ABILITY TO WITHSTAND LOSSES OR TO ADHERE TO A PARTICULAR TRADING PROGRAM IN SPITE OF TRADING LOSSES ARE MATERIAL POINTS WHICH CAN ALSO ADVERSELY AFFECT ACTUAL TRADING RESULTS. THERE ARE NUMEROUS OTHER FACTORS RELATED TO THE MARKETS IN GENERAL OR TO THE IMPLEMENTATION OF ANY SPECIFIC TRADING PROGRAM WHICH CANNOT BE FULLY ACCOUNTED FOR IN THE PREPARATION OF HYPOTHETICAL PERFORMANCE RESULTS AND ALL WHICH CAN ADVERSELY AFFECT TRADING RESULTS.

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