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2025-05-16 18:04:15 -04:00
parent 6ab9c15db1
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CMTSESSIONv1.00
LastUpdated=5/14/2025 7:51:02 PM
TradeDate=5/14/2025
LastUpdated=5/16/2025 12:14:48 AM
TradeDate=5/15/2025
StartDate=1/1/0001
AnalysisDate=5/14/2025
AnalysisDate=5/16/2025
CashBalance=9375.6
NonTradeableCash=6456.42
SuspendTrading=False|UsePriceSlopeIndicator=True|UsePriceSlopeIndicatorDays=252|AnalysisDate=5/14/2025|BetaMonths=6|TradeDate=5/14/2025|MarketCapLowerLimit=500000000|SidewaysDetection=False|SidewaysAfterDays=30|PriceTrendDays=20|CheckOutliersInReturnStream=True|DailyReturnLimit=0.25|MaxDailyPositions=3|MaxOpenPositions=3|NoTradeSymbols=CODYY,MARUY,CSTM,CS,NATI,QADA,CRTO,GTBIF,CLCT,PRSC,CMD,STAY,GBTC,YOKU,PNY,RFMD,ASAZY,USMO,VNR,STB,XIV,SYNT,DFP|OnlyTradeSymbols=|MinRSI=70|InitialCash=10000|TotalRiskPercentDecimal=0.05|PositionRiskPercentDecimal=0.12|EquityOnly=False|MinPercentReturnProximityTo52WeekHigh=30|MinPercentReturnOver52WeekLow=80|ProfitMarginCheck=True|EPSCheck=True|MinDaysBetweenReholding=30|LiquidityCheck=True|MinVolume=1000|DMA200Horizon=15|MinDaysBetweenStopAdjustments=30|MinDaysBetweenInitialStopAdjustment=5|MaxPricingExceptions=3|MACDSetup=(12,26,9)|MACDSignalDays=5|MACDRejectStrongSells=True|MACDRejectWeakSells=True|UseMarketIndicator=True|Benchmark=SPY|BenchmarkMovingAverageDays=200|BenchmarkMovingAverageHorizon=5|UseMarketIndicatorVolatility=True|UseMarketIndicatorVolatilityHorizon=60|UseMarketIndicatorVolatilityBenchmark=^VIX|UseStopLimitScaling=True|StopLimitScalingType=AverageTrueRange|StopLimitScalingVolatilityDays=30|SellOnDMABreak=True|DMABreakValues=200|DMABreakForceBreak=False|EntryType=OverExtended,MVP,PriceTrend,VolumeTrend|EntryHorizon=30|CandidateExpiryDays=180|VolumeTrendDays=10|ChannelBreakoutHorizon=40|UseOverExtendedIndicatorDays=45|UseOverExtendedIndicatorViolationThreshhold=1|UseOverExtendedIndicatorMarginPercent=1|MaxBeta=10|UseMaxBeta=False|UseProfitMaximization=True|UseProfitMaximizationExpression=R_THRESSHOLD=4;MAX_ATR=3;MULTIPLIER=MAX_ATR;IF(RMultiple>=R_THRESSHOLD){MULTIPLIER=1.2;}|UseTradeOnlySectors=False|UseTradeOnlySectorsSectors=Healthcare,Technology,Basic Materials,Consumer Defensive,Industrials|EvaluateStopOnUpTrend=False
SuspendTrading=False|UsePriceSlopeIndicator=True|UsePriceSlopeIndicatorDays=252|AnalysisDate=5/16/2025|BetaMonths=6|TradeDate=5/15/2025|MarketCapLowerLimit=500000000|SidewaysDetection=False|SidewaysAfterDays=30|PriceTrendDays=20|CheckOutliersInReturnStream=True|DailyReturnLimit=0.25|MaxDailyPositions=3|MaxOpenPositions=3|NoTradeSymbols=CODYY,MARUY,CSTM,CS,NATI,QADA,CRTO,GTBIF,CLCT,PRSC,CMD,STAY,GBTC,YOKU,PNY,RFMD,ASAZY,USMO,VNR,STB,XIV,SYNT,DFP|OnlyTradeSymbols=|MinRSI=70|InitialCash=10000|TotalRiskPercentDecimal=0.05|PositionRiskPercentDecimal=0.12|EquityOnly=False|MinPercentReturnProximityTo52WeekHigh=30|MinPercentReturnOver52WeekLow=80|ProfitMarginCheck=True|EPSCheck=True|MinDaysBetweenReholding=30|LiquidityCheck=True|MinVolume=1000|DMA200Horizon=15|MinDaysBetweenStopAdjustments=30|MinDaysBetweenInitialStopAdjustment=5|MaxPricingExceptions=3|MACDSetup=(12,26,9)|MACDSignalDays=5|MACDRejectStrongSells=True|MACDRejectWeakSells=True|UseMarketIndicator=True|Benchmark=SPY|BenchmarkMovingAverageDays=200|BenchmarkMovingAverageHorizon=5|UseMarketIndicatorVolatility=True|UseMarketIndicatorVolatilityHorizon=60|UseMarketIndicatorVolatilityBenchmark=^VIX|UseStopLimitScaling=True|StopLimitScalingType=AverageTrueRange|StopLimitScalingVolatilityDays=30|SellOnDMABreak=True|DMABreakValues=200|DMABreakForceBreak=False|EntryType=OverExtended,MVP,PriceTrend,VolumeTrend|EntryHorizon=30|CandidateExpiryDays=180|VolumeTrendDays=10|ChannelBreakoutHorizon=40|UseOverExtendedIndicatorDays=45|UseOverExtendedIndicatorViolationThreshhold=1|UseOverExtendedIndicatorMarginPercent=1|MaxBeta=10|UseMaxBeta=False|UseProfitMaximization=True|UseProfitMaximizationExpression=R_THRESSHOLD=4;MAX_ATR=3;MULTIPLIER=MAX_ATR;IF(RMultiple>=R_THRESSHOLD){MULTIPLIER=1.2;}|UseTradeOnlySectors=False|UseTradeOnlySectorsSectors=Healthcare,Technology,Basic Materials,Consumer Defensive,Industrials|EvaluateStopOnUpTrend=False
PricingExceptions=0
TotalActivePositions=0
TotalPositions=124
Symbol=CDNS|PurchaseDate=8/25/2020 12:00:00 AM|SellDate=9/3/2020 12:00:00 AM|Shares=16|PurchasePrice=111.82|CurrentPrice=109.57|Exposure=1789.12|MarketValue=1753.12|GainLoss=-36|GainLossPcnt=-0.020121624038633518|PositionRiskDecimal=0.12|R=13.3512|C=225.6365|P=16.900091377554077|InitialStopLimit=97.9088|TrailingStopLimit=109.599856939316|TotalRiskExposure=213.6192|RMultiple=-0.17R|Volatility=2.3209912776947|Volume=1767980|LastStopAdjustment=9/2/2020 12:00:00 AM|Comment=Manual close.
Symbol=LULU|PurchaseDate=8/28/2020 12:00:00 AM|SellDate=9/4/2020 12:00:00 AM|Shares=3|PurchasePrice=377.5|CurrentPrice=370.23|Exposure=1132.5|MarketValue=1110.69|GainLoss=-21.809999999999945|GainLossPcnt=-0.019258278145695317|PositionRiskDecimal=0.12|R=45.2976|C=136.6285|P=3.016241478577231|InitialStopLimit=332.1824|TrailingStopLimit=372.562428512573|TotalRiskExposure=135.89280000000002|RMultiple=-0.16R|Volatility=25.858959197998|Volume=2871665|LastStopAdjustment=9/2/2020 12:00:00 AM|Comment=Manual close.
Symbol=POOL|PurchaseDate=9/1/2020 12:00:00 AM|SellDate=9/8/2020 12:00:00 AM|Shares=2|PurchasePrice=332.21|CurrentPrice=288.44|Exposure=664.42|MarketValue=576.88|GainLoss=-87.53999999999996|GainLossPcnt=-0.13175401101712766|PositionRiskDecimal=0.12|R=39.5904|C=80.0065|P=2.0208560661170383|InitialStopLimit=290.3296|TrailingStopLimit=290.3296|TotalRiskExposure=79.1808|RMultiple=-1.11R|Volatility=4.28818368911743|Volume=259404|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=MPWR|PurchaseDate=8/25/2020 12:00:00 AM|SellDate=9/11/2020 12:00:00 AM|Shares=11|PurchasePrice=272.11|CurrentPrice=238.92|Exposure=2993.21|MarketValue=2628.12|GainLoss=-365.09000000000015|GainLossPcnt=-0.12197273161589067|PositionRiskDecimal=0.12|R=32.5884|C=375|P=11.50716205766469|InitialStopLimit=238.9816|TrailingStopLimit=238.9816|TotalRiskExposure=358.4724|RMultiple=-1.02R|Volatility=11.7428579330444|Volume=559458|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=MASI|PurchaseDate=10/9/2020 12:00:00 AM|SellDate=10/30/2020 12:00:00 AM|Shares=7|PurchasePrice=239.34|CurrentPrice=222.69|Exposure=1675.38|MarketValue=1558.83|GainLoss=-116.55000000000018|GainLossPcnt=-0.0695663073451994|PositionRiskDecimal=0.12|R=29.0916|C=203.927|P=7.009824141676635|InitialStopLimit=213.3384|TrailingStopLimit=223.030285377502|TotalRiskExposure=203.6412|RMultiple=-0.57R|Volatility=13.6757469177246|Volume=630724|LastStopAdjustment=10/23/2020 12:00:00 AM|Comment=Manual close.
Symbol=ZNGA|PurchaseDate=10/7/2020 12:00:00 AM|SellDate=11/5/2020 12:00:00 AM|Shares=304|PurchasePrice=9.64|CurrentPrice=9.07885723829269|Exposure=2930.5600000000004|MarketValue=2759.9726004409777|GainLoss=-170.58739955902274|GainLossPcnt=-0.05820983005262568|PositionRiskDecimal=0.12|R=1.1496|C=350.455|P=304.84951287404317|InitialStopLimit=8.4304|TrailingStopLimit=9.07885723829269|TotalRiskExposure=349.47839999999997|RMultiple=-0.49R|Volatility=0.254673659801483|Volume=26084500|LastStopAdjustment=11/4/2020 12:00:00 AM|Comment=Manual close.
Symbol=TREX|PurchaseDate=10/20/2020 12:00:00 AM|SellDate=11/10/2020 12:00:00 AM|Shares=7|PurchasePrice=76.49|CurrentPrice=66.86|Exposure=535.43|MarketValue=468.02|GainLoss=-67.40999999999997|GainLossPcnt=-0.1258988103020002|PositionRiskDecimal=0.12|R=9.1248|C=71.1215|P=7.794307820445379|InitialStopLimit=66.9152|TrailingStopLimit=66.9152|TotalRiskExposure=63.8736|RMultiple=-1.06R|Volatility=6.08851718902588|Volume=859880|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=KNSL|PurchaseDate=10/27/2020 12:00:00 AM|SellDate=12/22/2020 12:00:00 AM|Shares=1|PurchasePrice=204.54|CurrentPrice=218|Exposure=204.54|MarketValue=218|GainLoss=13.460000000000008|GainLossPcnt=0.06580619927642518|PositionRiskDecimal=0.12|R=24.96|C=43.3895|P=1.7383613782051281|InitialStopLimit=183.04|TrailingStopLimit=218.212285137177|TotalRiskExposure=24.96|RMultiple=0.54R|Volatility=4.44130897521973|Volume=93971|LastStopAdjustment=12/14/2020 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=IYJ|PurchaseDate=11/27/2020 12:00:00 AM|SellDate=1/27/2021 12:00:00 AM|Shares=24|PurchasePrice=95.74|CurrentPrice=93.86|Exposure=2297.7599999999998|MarketValue=2252.64|GainLoss=-45.11999999999989|GainLossPcnt=-0.019636515562983035|PositionRiskDecimal=0.12|R=22.998|C=277.3995|P=12.061896686668405|InitialStopLimit=84.25|TrailingStopLimit=94.3752856349945|TotalRiskExposure=551.952|RMultiple=-0.08R|Volatility=8.02466487884521|Volume=59046|LastStopAdjustment=1/6/2021 12:00:00 AM|Comment=Manual close.
Symbol=SMG|PurchaseDate=10/27/2020 12:00:00 AM|SellDate=2/23/2021 12:00:00 AM|Shares=1|PurchasePrice=152.05|CurrentPrice=218.16|Exposure=152.05|MarketValue=218.16|GainLoss=66.10999999999999|GainLossPcnt=0.4347911871095033|PositionRiskDecimal=0.12|R=18.6228|C=32.9895|P=1.771457568142277|InitialStopLimit=136.5672|TrailingStopLimit=218.696714553833|TotalRiskExposure=18.6228|RMultiple=3.55R|Volatility=5.33200883865356|Volume=272884|LastStopAdjustment=2/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=FXL|PurchaseDate=12/7/2020 12:00:00 AM|SellDate=2/23/2021 12:00:00 AM|Shares=12|PurchasePrice=107.76|CurrentPrice=116.33|Exposure=1293.1200000000001|MarketValue=1395.96|GainLoss=102.83999999999992|GainLossPcnt=0.07952858203414989|PositionRiskDecimal=0.12|R=12.936|C=162.4095|P=12.55484693877551|InitialStopLimit=94.864|TrailingStopLimit=117.495857133865|TotalRiskExposure=155.232|RMultiple=0.66R|Volatility=2.97189211845398|Volume=106863|LastStopAdjustment=2/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=MTUM|PurchaseDate=2/9/2021 12:00:00 AM|SellDate=3/4/2021 12:00:00 AM|Shares=13|PurchasePrice=176.75|CurrentPrice=154.6|Exposure=2297.75|MarketValue=2009.8|GainLoss=-287.95000000000005|GainLossPcnt=-0.12531824611032533|PositionRiskDecimal=0.12|R=21.084|C=285.772|P=13.55397457787896|InitialStopLimit=154.616|TrailingStopLimit=154.616|TotalRiskExposure=274.092|RMultiple=-1.05R|Volatility=2.52558350563049|Volume=547268|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=QQQE|PurchaseDate=12/23/2020 12:00:00 AM|SellDate=3/4/2021 12:00:00 AM|Shares=8|PurchasePrice=74.12|CurrentPrice=72.5|Exposure=592.96|MarketValue=580|GainLoss=-12.960000000000036|GainLossPcnt=-0.021856449001619056|PositionRiskDecimal=0.12|R=8.9196|C=77.788|P=8.721018879770392|InitialStopLimit=65.4104|TrailingStopLimit=72.5744287014008|TotalRiskExposure=71.3568|RMultiple=-0.18R|Volatility=0.948996961116791|Volume=45324|LastStopAdjustment=2/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=NVMI|PurchaseDate=10/19/2020 12:00:00 AM|SellDate=5/11/2021 12:00:00 AM|Shares=17|PurchasePrice=58.82|CurrentPrice=84.07|Exposure=999.94|MarketValue=1429.1899999999998|GainLoss=429.2499999999998|GainLossPcnt=0.42927575654539246|PositionRiskDecimal=0.12|R=6.9228|C=120.158|P=17.35684982954874|InitialStopLimit=50.7672|TrailingStopLimit=85.1721433067322|TotalRiskExposure=117.68759999999999|RMultiple=3.65R|Volatility=2.07994079589844|Volume=488896|LastStopAdjustment=4/21/2021 12:00:00 AM|Comment=Manual close.
Symbol=LH|PurchaseDate=12/15/2020 12:00:00 AM|SellDate=5/19/2021 12:00:00 AM|Shares=3|PurchasePrice=207|CurrentPrice=264.1|Exposure=621|MarketValue=792.3000000000001|GainLoss=171.30000000000007|GainLossPcnt=0.2758454106280194|PositionRiskDecimal=0.12|R=24.6924|C=97.7535|P=3.958849686543228|InitialStopLimit=181.0776|TrailingStopLimit=264.399571075439|TotalRiskExposure=74.0772|RMultiple=2.31R|Volatility=3.39703297615051|Volume=466956|LastStopAdjustment=5/7/2021 12:00:00 AM|Comment=Manual close.
Symbol=EWO|PurchaseDate=3/3/2021 12:00:00 AM|SellDate=6/17/2021 12:00:00 AM|Shares=96|PurchasePrice=21.56|CurrentPrice=24.85|Exposure=2069.7599999999998|MarketValue=2385.6000000000004|GainLoss=315.8400000000006|GainLossPcnt=0.1525974025974029|PositionRiskDecimal=0.12|R=2.6016|C=251.5905|P=96.70606549815498|InitialStopLimit=19.0784|TrailingStopLimit=24.8752857780457|TotalRiskExposure=249.7536|RMultiple=1.26R|Volatility=0.367534816265106|Volume=17264|LastStopAdjustment=6/9/2021 12:00:00 AM|Comment=Manual close.
Symbol=JEF|PurchaseDate=3/10/2021 12:00:00 AM|SellDate=6/17/2021 12:00:00 AM|Shares=72|PurchasePrice=31.86|CurrentPrice=30.2|Exposure=2293.92|MarketValue=2174.4|GainLoss=-119.51999999999998|GainLossPcnt=-0.05210295040803514|PositionRiskDecimal=0.12|R=3.8424|C=277.5925|P=72.24456069123464|InitialStopLimit=28.1776|TrailingStopLimit=30.2215713357925|TotalRiskExposure=276.6528|RMultiple=-0.43R|Volatility=0.910626769065857|Volume=2590910|LastStopAdjustment=4/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=IGE|PurchaseDate=3/22/2021 12:00:00 AM|SellDate=6/17/2021 12:00:00 AM|Shares=28|PurchasePrice=27.19|CurrentPrice=30.1|Exposure=761.32|MarketValue=842.8000000000001|GainLoss=81.48000000000002|GainLossPcnt=0.10702464141228395|PositionRiskDecimal=0.12|R=3.3288|C=95.2575|P=28.61616798846431|InitialStopLimit=24.4112|TrailingStopLimit=30.1015714466572|TotalRiskExposure=93.2064|RMultiple=0.87R|Volatility=0.968399524688721|Volume=152789|LastStopAdjustment=6/16/2021 12:00:00 AM|Comment=Manual close.
Symbol=FUL|PurchaseDate=3/16/2021 12:00:00 AM|SellDate=6/24/2021 12:00:00 AM|Shares=22|PurchasePrice=61.49|CurrentPrice=63|Exposure=1352.78|MarketValue=1386|GainLoss=33.22000000000003|GainLossPcnt=0.024556838510326903|PositionRiskDecimal=0.12|R=7.3644|C=162.8965|P=22.119453044375646|InitialStopLimit=54.0056|TrailingStopLimit=64.2902858066559|TotalRiskExposure=162.0168|RMultiple=0.21R|Volatility=1.62357997894287|Volume=461810|LastStopAdjustment=6/7/2021 12:00:00 AM|Comment=Manual close.
Symbol=APA|PurchaseDate=6/22/2021 12:00:00 AM|SellDate=7/15/2021 12:00:00 AM|Shares=89|PurchasePrice=22.33|CurrentPrice=19.32|Exposure=1987.37|MarketValue=1719.48|GainLoss=-267.8899999999999|GainLossPcnt=-0.13479623824451406|PositionRiskDecimal=0.12|R=2.634|C=236.799|P=89.90091116173122|InitialStopLimit=19.316|TrailingStopLimit=19.316|TotalRiskExposure=234.426|RMultiple=-1.14R|Volatility=1.6371910572052|Volume=7153620|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=DFIN|PurchaseDate=6/28/2021 12:00:00 AM|SellDate=7/19/2021 12:00:00 AM|Shares=38|PurchasePrice=32.34|CurrentPrice=29.87|Exposure=1228.92|MarketValue=1135.06|GainLoss=-93.86000000000013|GainLossPcnt=-0.07637600494743362|PositionRiskDecimal=0.12|R=3.8544|C=149.6705|P=38.83107617268576|InitialStopLimit=28.2656|TrailingStopLimit=29.9341433095932|TotalRiskExposure=146.4672|RMultiple=-0.64R|Volatility=0.758042216300964|Volume=166842|LastStopAdjustment=7/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=JBL|PurchaseDate=6/23/2021 12:00:00 AM|SellDate=7/19/2021 12:00:00 AM|Shares=20|PurchasePrice=57.06|CurrentPrice=53.54|Exposure=1141.2|MarketValue=1070.8|GainLoss=-70.40000000000009|GainLossPcnt=-0.06168944970206808|PositionRiskDecimal=0.12|R=6.7884|C=137.4305|P=20.244903069942843|InitialStopLimit=49.7816|TrailingStopLimit=54.5449284219742|TotalRiskExposure=135.768|RMultiple=-0.52R|Volatility=2.51323866844177|Volume=2810044|LastStopAdjustment=6/28/2021 12:00:00 AM|Comment=Manual close.
Symbol=GSG|PurchaseDate=5/21/2021 12:00:00 AM|SellDate=7/19/2021 12:00:00 AM|Shares=104|PurchasePrice=15.13|CurrentPrice=15.25|Exposure=1573.52|MarketValue=1586|GainLoss=12.480000000000018|GainLossPcnt=0.0079312623925975|PositionRiskDecimal=0.12|R=1.8084|C=188.603|P=104.29274496792745|InitialStopLimit=13.2616|TrailingStopLimit=15.2548571711779|TotalRiskExposure=188.0736|RMultiple=0.07R|Volatility=0.368697017431259|Volume=1545400|LastStopAdjustment=7/6/2021 12:00:00 AM|Comment=Manual close.
Symbol=NUAN|PurchaseDate=7/19/2021 12:00:00 AM|SellDate=3/4/2022 12:00:00 AM|Shares=15|PurchasePrice=54.95|CurrentPrice=56|Exposure=824.25|MarketValue=840|GainLoss=15.75|GainLossPcnt=0.01910828025477707|PositionRiskDecimal=0.12|R=6.5904|C=101.1985|P=15.355441247875698|InitialStopLimit=48.3296|TrailingStopLimit=54.4159286016226|TotalRiskExposure=98.856|RMultiple=0.16R|Volatility=0.569565415382385|Volume=22381809|LastStopAdjustment=7/26/2021 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=SCHN|PurchaseDate=7/19/2021 12:00:00 AM|SellDate=9/8/2021 12:00:00 AM|Shares=31|PurchasePrice=46.56|CurrentPrice=45.15|Exposure=1443.3600000000001|MarketValue=1399.6499999999999|GainLoss=-43.710000000000264|GainLossPcnt=-0.030283505154639356|PositionRiskDecimal=0.12|R=5.5296|C=172.6225|P=31.217900028935183|InitialStopLimit=40.5504|TrailingStopLimit=45.2032850837708|TotalRiskExposure=171.41760000000002|RMultiple=-0.25R|Volatility=3.43626070022583|Volume=648498|LastStopAdjustment=7/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=SSD|PurchaseDate=5/20/2021 12:00:00 AM|SellDate=9/16/2021 12:00:00 AM|Shares=23|PurchasePrice=112.59|CurrentPrice=106.17|Exposure=2589.57|MarketValue=2441.91|GainLoss=-147.6600000000003|GainLossPcnt=-0.05702104982680534|PositionRiskDecimal=0.12|R=13.356|C=318.0815|P=23.815625935908955|InitialStopLimit=97.944|TrailingStopLimit=106.312500581741|TotalRiskExposure=307.188|RMultiple=-0.48R|Volatility=3.232830286026|Volume=314376|LastStopAdjustment=8/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=CX|PurchaseDate=8/4/2021 12:00:00 AM|SellDate=9/20/2021 12:00:00 AM|Shares=230|PurchasePrice=8.2|CurrentPrice=7.03|Exposure=1885.9999999999998|MarketValue=1616.9|GainLoss=-269.0999999999997|GainLossPcnt=-0.14268292682926814|PositionRiskDecimal=0.12|R=0.9732|C=224.024946451217|P=230.19414966216297|InitialStopLimit=7.1368|TrailingStopLimit=7.14|TotalRiskExposure=223.83599999999998|RMultiple=-1.20R|Volatility=0.289334863424301|Volume=12838906|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=INTU|PurchaseDate=6/22/2021 12:00:00 AM|SellDate=9/30/2021 12:00:00 AM|Shares=6|PurchasePrice=477.56|CurrentPrice=540.59|Exposure=2865.36|MarketValue=3243.54|GainLoss=378.17999999999984|GainLossPcnt=0.13198341569645694|PositionRiskDecimal=0.12|R=57.3072|C=380.067|P=6.632098584471061|InitialStopLimit=420.2528|TrailingStopLimit=540.67564529419|TotalRiskExposure=343.8432|RMultiple=1.10R|Volatility=17.980411529541|Volume=1360530|LastStopAdjustment=8/27/2021 12:00:00 AM|Comment=Manual close.
Symbol=CROX|PurchaseDate=7/19/2021 12:00:00 AM|SellDate=10/1/2021 12:00:00 AM|Shares=21|PurchasePrice=113.54|CurrentPrice=140.1|Exposure=2384.34|MarketValue=2942.1|GainLoss=557.7599999999998|GainLossPcnt=0.23392636956138793|PositionRiskDecimal=0.12|R=13.5072|C=290.8105|P=21.530035832741056|InitialStopLimit=99.0528|TrailingStopLimit=140.132429409027|TotalRiskExposure=283.65119999999996|RMultiple=1.97R|Volatility=5.18915987014771|Volume=9354930|LastStopAdjustment=9/24/2021 12:00:00 AM|Comment=Manual close.
Symbol=BKE|PurchaseDate=10/1/2021 12:00:00 AM|SellDate=10/7/2021 12:00:00 AM|Shares=64|PurchasePrice=40.38|CurrentPrice=41.15|Exposure=2584.32|MarketValue=2633.6|GainLoss=49.279999999999745|GainLossPcnt=0.019068845963348093|PositionRiskDecimal=0.12|R=4.8612|C=315.734|P=64.9498066321073|InitialStopLimit=35.6488|TrailingStopLimit=35.6488|TotalRiskExposure=311.1168|RMultiple=0.16R|Volatility=3.19530439376831|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Closed due to DMA break
Symbol=UMC|PurchaseDate=7/15/2021 12:00:00 AM|SellDate=10/12/2021 12:00:00 AM|Shares=153|PurchasePrice=9.54|CurrentPrice=10.28|Exposure=1459.62|MarketValue=1572.84|GainLoss=113.22000000000003|GainLossPcnt=0.07756813417190778|PositionRiskDecimal=0.12|R=1.1364|C=174.1985|P=153.2897747272087|InitialStopLimit=8.3336|TrailingStopLimit=10.2775715839863|TotalRiskExposure=173.8692|RMultiple=0.65R|Volatility=0.399427592754364|Volume=13702500|LastStopAdjustment=8/31/2021 12:00:00 AM|Comment=Manual close.
Symbol=VLRS|PurchaseDate=10/6/2021 12:00:00 AM|SellDate=10/19/2021 12:00:00 AM|Shares=167|PurchasePrice=22.04|CurrentPrice=19.22|Exposure=3680.68|MarketValue=3209.74|GainLoss=-470.94000000000005|GainLossPcnt=-0.12794918330308533|PositionRiskDecimal=0.12|R=2.6256|C=440.83|P=167.8968616697136|InitialStopLimit=19.2544|TrailingStopLimit=19.25|TotalRiskExposure=438.4752|RMultiple=-1.07R|Volatility=0.490004241466522|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=TGH|PurchaseDate=9/16/2021 12:00:00 AM|SellDate=11/19/2021 12:00:00 AM|Shares=60|PurchasePrice=33.38|CurrentPrice=36.02|Exposure=2002.8000000000002|MarketValue=2161.2000000000003|GainLoss=158.4000000000001|GainLossPcnt=0.07908927501497907|PositionRiskDecimal=0.12|R=3.9876|C=239.758946451217|P=60.12612760839026|InitialStopLimit=29.2424|TrailingStopLimit=36.0807861852646|TotalRiskExposure=239.256|RMultiple=0.66R|Volatility=2.18679404258728|Volume=1445370|LastStopAdjustment=10/28/2021 12:00:00 AM|Comment=Manual close.
Symbol=CDEV|PurchaseDate=9/8/2021 12:00:00 AM|SellDate=11/26/2021 12:00:00 AM|Shares=318|PurchasePrice=5.16|CurrentPrice=5.99|Exposure=1640.88|MarketValue=1904.8200000000002|GainLoss=263.94000000000005|GainLossPcnt=0.1608527131782946|PositionRiskDecimal=0.12|R=0.6264|C=199.707446451217|P=318.81776253387136|InitialStopLimit=4.5936|TrailingStopLimit=5.99171426773071|TotalRiskExposure=199.1952|RMultiple=1.33R|Volatility=0.301972985267639|Volume=10357911|LastStopAdjustment=11/15/2021 12:00:00 AM|Comment=Manual close.
Symbol=LKQ|PurchaseDate=10/12/2021 12:00:00 AM|SellDate=11/30/2021 12:00:00 AM|Shares=53|PurchasePrice=52.84|CurrentPrice=55.72|Exposure=2800.52|MarketValue=2953.16|GainLoss=152.63999999999987|GainLossPcnt=0.054504163512490496|PositionRiskDecimal=0.12|R=6.3348|C=337.806|P=53.325440424322785|InitialStopLimit=46.4552|TrailingStopLimit=55.7400713014603|TotalRiskExposure=335.74440000000004|RMultiple=0.45R|Volatility=1.26025557518005|Volume=1616650|LastStopAdjustment=11/17/2021 12:00:00 AM|Comment=Manual close.
Symbol=SIG|PurchaseDate=9/20/2021 12:00:00 AM|SellDate=12/2/2021 12:00:00 AM|Shares=23|PurchasePrice=80.86|CurrentPrice=88.5|Exposure=1859.78|MarketValue=2035.5|GainLoss=175.72000000000003|GainLossPcnt=0.09448429384120705|PositionRiskDecimal=0.12|R=9.5604|C=220.463946451217|P=23.06011740630277|InitialStopLimit=70.1096|TrailingStopLimit=90.9817138290405|TotalRiskExposure=219.8892|RMultiple=0.80R|Volatility=3.90558218955994|Volume=0|LastStopAdjustment=11/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=REMX|PurchaseDate=10/19/2021 12:00:00 AM|SellDate=12/6/2021 12:00:00 AM|Shares=25|PurchasePrice=116.29|CurrentPrice=111.2|Exposure=2907.25|MarketValue=2780|GainLoss=-127.25|GainLossPcnt=-0.04376988563075071|PositionRiskDecimal=0.12|R=13.8276|C=358.5175|P=25.927673638230782|InitialStopLimit=101.4024|TrailingStopLimit=111.35678483963|TotalRiskExposure=345.69|RMultiple=-0.37R|Volatility=1.94370174407959|Volume=283275|LastStopAdjustment=11/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=BX|PurchaseDate=11/30/2021 12:00:00 AM|SellDate=12/14/2021 12:00:00 AM|Shares=20|PurchasePrice=144|CurrentPrice=124.4|Exposure=2880|MarketValue=2488|GainLoss=-392|GainLossPcnt=-0.1361111111111111|PositionRiskDecimal=0.12|R=16.974|C=350.026|P=20.621303169553435|InitialStopLimit=124.476|TrailingStopLimit=124.476|TotalRiskExposure=339.48|RMultiple=-1.15R|Volatility=2.29128789901733|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=JCI|PurchaseDate=12/2/2021 12:00:00 AM|SellDate=12/20/2021 12:00:00 AM|Shares=33|PurchasePrice=77.1|CurrentPrice=74.63|Exposure=2544.2999999999997|MarketValue=2462.79|GainLoss=-81.50999999999976|GainLossPcnt=-0.03203631647211405|PositionRiskDecimal=0.12|R=9.1992|C=307.801|P=33.45953995999652|InitialStopLimit=67.4608|TrailingStopLimit=74.6515714168549|TotalRiskExposure=303.5736|RMultiple=-0.27R|Volatility=1.01006829738617|Volume=0|LastStopAdjustment=12/7/2021 12:00:00 AM|Comment=Manual close.
Symbol=AN|PurchaseDate=12/6/2021 12:00:00 AM|SellDate=12/21/2021 12:00:00 AM|Shares=21|PurchasePrice=126.92|CurrentPrice=109.56|Exposure=2665.32|MarketValue=2300.76|GainLoss=-364.55999999999995|GainLossPcnt=-0.13677907343208318|PositionRiskDecimal=0.12|R=14.9484|C=319.586|P=21.37927804982473|InitialStopLimit=109.6216|TrailingStopLimit=109.62|TotalRiskExposure=313.9164|RMultiple=-1.16R|Volatility=2.02778315544128|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CRVL|PurchaseDate=12/14/2021 12:00:00 AM|SellDate=1/10/2022 12:00:00 AM|Shares=13|PurchasePrice=196.8|CurrentPrice=184.4|Exposure=2558.4|MarketValue=2397.2000000000003|GainLoss=-161.19999999999982|GainLossPcnt=-0.06300813008130074|PositionRiskDecimal=0.12|R=23.5452|C=310.72|P=13.196744984115659|InitialStopLimit=172.6648|TrailingStopLimit=187.913356513977|TotalRiskExposure=306.0876|RMultiple=-0.53R|Volatility=2.55160999298096|Volume=46577|LastStopAdjustment=12/27/2021 12:00:00 AM|Comment=Manual close.
Symbol=WOW|PurchaseDate=12/20/2021 12:00:00 AM|SellDate=1/19/2022 12:00:00 AM|Shares=123|PurchasePrice=20.84|CurrentPrice=18.98|Exposure=2563.32|MarketValue=2334.54|GainLoss=-228.7800000000002|GainLossPcnt=-0.08925143953934749|PositionRiskDecimal=0.12|R=2.4768|C=305.9395|P=123.52208494832043|InitialStopLimit=18.1632|TrailingStopLimit=18.9872856926918|TotalRiskExposure=304.64639999999997|RMultiple=-0.75R|Volatility=1.03859663009644|Volume=0|LastStopAdjustment=12/27/2021 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=CBRE|PurchaseDate=12/21/2021 12:00:00 AM|SellDate=1/19/2022 12:00:00 AM|Shares=23|PurchasePrice=103.06|CurrentPrice=98.9241426372528|Exposure=2370.38|MarketValue=2275.255280656814|GainLoss=-95.12471934318592|GainLossPcnt=-0.040130577942433666|PositionRiskDecimal=0.12|R=12.3924|C=292.8115|P=23.62831251412156|InitialStopLimit=90.8776|TrailingStopLimit=98.9241426372528|TotalRiskExposure=285.0252|RMultiple=-0.33R|Volatility=1.72585380077362|Volume=0|LastStopAdjustment=12/27/2021 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=KLIC|PurchaseDate=11/19/2021 12:00:00 AM|SellDate=1/21/2022 12:00:00 AM|Shares=65|PurchasePrice=57.99|CurrentPrice=52.01|Exposure=3769.35|MarketValue=3380.65|GainLoss=-388.6999999999998|GainLossPcnt=-0.10312122779789615|PositionRiskDecimal=0.12|R=6.8484|C=445.9645|P=65.11951696746685|InitialStopLimit=50.2216|TrailingStopLimit=52.388785610199|TotalRiskExposure=445.146|RMultiple=-0.87R|Volatility=2.20517516136169|Volume=0|LastStopAdjustment=11/24/2021 12:00:00 AM|Comment=Manual close.
Symbol=HRI|PurchaseDate=1/19/2022 12:00:00 AM|SellDate=2/11/2022 12:00:00 AM|Shares=21|PurchasePrice=157.65|CurrentPrice=149.14|Exposure=3310.65|MarketValue=3131.9399999999996|GainLoss=-178.7100000000005|GainLossPcnt=-0.05398033618775784|PositionRiskDecimal=0.12|R=18.9744|C=404.599071042895|P=21.323418450274843|InitialStopLimit=139.1456|TrailingStopLimit=149.278714866638|TotalRiskExposure=398.4624|RMultiple=-0.45R|Volatility=8.24079608917236|Volume=0|LastStopAdjustment=2/9/2022 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=WLL|PurchaseDate=11/26/2021 12:00:00 AM|SellDate=2/18/2022 12:00:00 AM|Shares=44|PurchasePrice=68.35|CurrentPrice=65.14|Exposure=3007.3999999999996|MarketValue=2866.16|GainLoss=-141.23999999999978|GainLossPcnt=-0.046964155084125755|PositionRiskDecimal=0.12|R=7.8756|C=352.738|P=44.78871451064046|InitialStopLimit=57.7544|TrailingStopLimit=65.5060002803802|TotalRiskExposure=346.5264|RMultiple=-0.41R|Volatility=3.11170983314514|Volume=0|LastStopAdjustment=2/7/2022 12:00:00 AM|Comment=Manual close.
Symbol=SKY|PurchaseDate=2/7/2022 12:00:00 AM|SellDate=3/7/2022 12:00:00 AM|Shares=34|PurchasePrice=75.47|CurrentPrice=65.86|Exposure=2565.98|MarketValue=2239.24|GainLoss=-326.74000000000024|GainLossPcnt=-0.12733536504571363|PositionRiskDecimal=0.12|R=8.9832|C=308.955264032841|P=34.3925621196056|InitialStopLimit=65.8768|TrailingStopLimit=65.8768|TotalRiskExposure=305.4288|RMultiple=-1.07R|Volatility=3.79947519302368|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=DAC|PurchaseDate=1/10/2022 12:00:00 AM|SellDate=3/4/2022 12:00:00 AM|Shares=34|PurchasePrice=70.64|CurrentPrice=87.3|Exposure=2401.76|MarketValue=2968.2|GainLoss=566.4399999999996|GainLossPcnt=0.23584371460928633|PositionRiskDecimal=0.12|R=8.448|C=294.1525|P=34.819187973484844|InitialStopLimit=61.952|TrailingStopLimit=87.296|TotalRiskExposure=287.232|RMultiple=1.97R|Volatility=4.61944627761841|Volume=0|LastStopAdjustment=2/17/2022 12:00:00 AM|Comment=Manual close.
Symbol=M|PurchaseDate=1/19/2022 12:00:00 AM|SellDate=3/7/2022 12:00:00 AM|Shares=78|PurchasePrice=25.41|CurrentPrice=22.35|Exposure=1981.98|MarketValue=1743.3000000000002|GainLoss=-238.67999999999984|GainLossPcnt=-0.12042502951593852|PositionRiskDecimal=0.12|R=3.0324|C=238.573071042895|P=78.67467057211945|InitialStopLimit=22.2376|TrailingStopLimit=22.3535720968246|TotalRiskExposure=236.5272|RMultiple=-1.01R|Volatility=1.05049240589142|Volume=0|LastStopAdjustment=2/10/2022 12:00:00 AM|Comment=Manual close.
Symbol=ODFL|PurchaseDate=3/30/2022 12:00:00 AM|SellDate=4/4/2022 12:00:00 AM|Shares=12|PurchasePrice=313.27|CurrentPrice=273.55|Exposure=3759.24|MarketValue=3282.6000000000004|GainLoss=-476.6399999999994|GainLossPcnt=-0.12679158553324593|PositionRiskDecimal=0.12|R=37.3584|C=485.43026403284|P=12.993871901174568|InitialStopLimit=273.9616|TrailingStopLimit=273.9616|TotalRiskExposure=448.30080000000004|RMultiple=-1.06R|Volatility=10.4680919647217|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CLFD|PurchaseDate=3/30/2022 12:00:00 AM|SellDate=4/11/2022 12:00:00 AM|Shares=104|PurchasePrice=66.64|CurrentPrice=58.14|Exposure=6930.56|MarketValue=6046.56|GainLoss=-884|GainLossPcnt=-0.12755102040816327|PositionRiskDecimal=0.12|R=7.9308|C=829.09826403284|P=104.54156756352954|InitialStopLimit=58.1592|TrailingStopLimit=58.1592|TotalRiskExposure=824.8032|RMultiple=-1.07R|Volatility=4.14441680908203|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=TRNS|PurchaseDate=4/1/2022 12:00:00 AM|SellDate=4/25/2022 12:00:00 AM|Shares=13|PurchasePrice=84.52|CurrentPrice=73.07|Exposure=1098.76|MarketValue=949.9099999999999|GainLoss=-148.85000000000014|GainLossPcnt=-0.13547089446284916|PositionRiskDecimal=0.12|R=10.0128|C=172.35226403284|P=17.213193515584052|InitialStopLimit=73.4272|TrailingStopLimit=73.4272|TotalRiskExposure=130.1664|RMultiple=-1.14R|Volatility=9.39243602752686|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=NSA|PurchaseDate=4/1/2022 12:00:00 AM|SellDate=4/25/2022 12:00:00 AM|Shares=13|PurchasePrice=64.38|CurrentPrice=62.17|Exposure=836.9399999999999|MarketValue=808.21|GainLoss=-28.729999999999905|GainLossPcnt=-0.03432743087915491|PositionRiskDecimal=0.12|R=7.7256|C=101.42826403284|P=13.12885265|InitialStopLimit=56.6544|TrailingStopLimit=62.1623575687408|TotalRiskExposure=100.4328|RMultiple=-0.29R|Volatility=1.62888729572296|Volume=0|LastStopAdjustment=4/20/2022 12:00:00 AM|Comment=Manual close.
Symbol=EXR|PurchaseDate=4/4/2022 12:00:00 AM|SellDate=4/29/2022 12:00:00 AM|Shares=9|PurchasePrice=205.91|CurrentPrice=195.45|Exposure=1853.19|MarketValue=1759.05|GainLoss=-94.1400000000001|GainLossPcnt=-0.050798892720120496|PositionRiskDecimal=0.12|R=24.7428|C=239.6975|P=9.687565675671307|InitialStopLimit=181.4472|TrailingStopLimit=195.508856391907|TotalRiskExposure=222.68519999999998|RMultiple=-0.42R|Volatility=4.79185819625854|Volume=0|LastStopAdjustment=4/11/2022 12:00:00 AM|Comment=Manual close.
Symbol=IMKTA|PurchaseDate=3/30/2022 12:00:00 AM|SellDate=5/18/2022 12:00:00 AM|Shares=27|PurchasePrice=90.56|CurrentPrice=84.73|Exposure=2445.12|MarketValue=2287.71|GainLoss=-157.40999999999985|GainLossPcnt=-0.06437720848056531|PositionRiskDecimal=0.12|R=10.8972|C=298.63826403284|P=27.405045702826417|InitialStopLimit=79.9128|TrailingStopLimit=85.0236434745789|TotalRiskExposure=294.2244|RMultiple=-0.53R|Volatility=2.07228016853333|Volume=0|LastStopAdjustment=4/8/2022 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=CORN|PurchaseDate=9/30/2021 12:00:00 AM|SellDate=6/1/2022 12:00:00 AM|Shares=119|PurchasePrice=20.34|CurrentPrice=27.47|Exposure=2420.46|MarketValue=3268.93|GainLoss=848.4699999999998|GainLossPcnt=0.3505408062930186|PositionRiskDecimal=0.12|R=2.4204|C=289.652|P=119.6711287390514|InitialStopLimit=17.7496|TrailingStopLimit=27.47|TotalRiskExposure=288.0276|RMultiple=2.95R|Volatility=1.01165091991425|Volume=712748|LastStopAdjustment=4/27/2022 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=PBF|PurchaseDate=1/27/2023 12:00:00 AM|SellDate=2/6/2023 12:00:00 AM|Shares=87|PurchasePrice=42.71|CurrentPrice=37.98|Exposure=3715.77|MarketValue=3304.2599999999998|GainLoss=-411.5100000000002|GainLossPcnt=-0.11074689768204174|PositionRiskDecimal=0.12|R=5.1804|C=453.6905|P=87.57827580881785|InitialStopLimit=37.9896|TrailingStopLimit=37.99|TotalRiskExposure=450.6948|RMultiple=-0.91R|Volatility=2.52846884727478|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=ROCC|PurchaseDate=1/27/2023 12:00:00 AM|SellDate=2/21/2023 12:00:00 AM|Shares=29|PurchasePrice=43.31|CurrentPrice=38.26|Exposure=1255.99|MarketValue=1109.54|GainLoss=-146.45000000000005|GainLossPcnt=-0.11660124682521361|PositionRiskDecimal=0.12|R=5.2716|C=156.0715|P=29.606096820699594|InitialStopLimit=38.6584|TrailingStopLimit=38.6584|TotalRiskExposure=152.87640000000002|RMultiple=-0.96R|Volatility=2.04572010040283|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=SQM|PurchaseDate=2/6/2023 12:00:00 AM|SellDate=2/21/2023 12:00:00 AM|Shares=16|PurchasePrice=96.15|CurrentPrice=83.62|Exposure=1538.4|MarketValue=1337.92|GainLoss=-200.48000000000002|GainLossPcnt=-0.13031721268850754|PositionRiskDecimal=0.12|R=11.4072|C=184.7485|P=16.195779858335086|InitialStopLimit=83.6528|TrailingStopLimit=83.65|TotalRiskExposure=182.5152|RMultiple=-1.10R|Volatility=3.92397999763489|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=UFPT|PurchaseDate=2/21/2023 12:00:00 AM|SellDate=3/6/2023 12:00:00 AM|Shares=16|PurchasePrice=117.17|CurrentPrice=105.02|Exposure=1874.72|MarketValue=1680.32|GainLoss=-194.4000000000001|GainLossPcnt=-0.10369548519245546|PositionRiskDecimal=0.12|R=14.0652|C=230.2015|P=16.366742029974688|InitialStopLimit=103.1448|TrailingStopLimit=104.926641426086|TotalRiskExposure=225.0432|RMultiple=-0.86R|Volatility=9.47459030151367|Volume=0|LastStopAdjustment=3/3/2023 12:00:00 AM|Comment=Manual close.
Symbol=UNM|PurchaseDate=1/31/2023 12:00:00 AM|SellDate=3/10/2023 12:00:00 AM|Shares=6|PurchasePrice=43.26|CurrentPrice=40.89|Exposure=259.56|MarketValue=245.34|GainLoss=-14.219999999999999|GainLossPcnt=-0.05478502080443828|PositionRiskDecimal=0.12|R=5.0436|C=33.1025|P=6.563268300420335|InitialStopLimit=36.9864|TrailingStopLimit=40.9247139382362|TotalRiskExposure=30.261599999999998|RMultiple=-0.47R|Volatility=1.03322768211365|Volume=0|LastStopAdjustment=2/24/2023 12:00:00 AM|Comment=Manual close.
Symbol=XOM|PurchaseDate=1/27/2023 12:00:00 AM|SellDate=3/13/2023 12:00:00 AM|Shares=19|PurchasePrice=115.15|CurrentPrice=104.54|Exposure=2187.85|MarketValue=1986.2600000000002|GainLoss=-201.5899999999997|GainLossPcnt=-0.09214068606165857|PositionRiskDecimal=0.12|R=13.8732|C=265.901|P=19.166522503820314|InitialStopLimit=101.7368|TrailingStopLimit=105.318714294434|TotalRiskExposure=263.5908|RMultiple=-0.76R|Volatility=2.72619557380676|Volume=0|LastStopAdjustment=2/10/2023 12:00:00 AM|Comment=Manual close.
Symbol=EURN|PurchaseDate=2/24/2023 12:00:00 AM|SellDate=3/15/2023 12:00:00 AM|Shares=61|PurchasePrice=18.28|CurrentPrice=16.53|Exposure=1115.0800000000002|MarketValue=1008.33|GainLoss=-106.75000000000011|GainLossPcnt=-0.09573304157549244|PositionRiskDecimal=0.12|R=2.2056|C=136.4655|P=61.872279651795424|InitialStopLimit=16.1744|TrailingStopLimit=16.5369285178185|TotalRiskExposure=134.5416|RMultiple=-0.79R|Volatility=0.731772541999817|Volume=0|LastStopAdjustment=3/2/2023 12:00:00 AM|Comment=Manual close.
Symbol=ASC|PurchaseDate=1/31/2023 12:00:00 AM|SellDate=3/16/2023 12:00:00 AM|Shares=31|PurchasePrice=15.03|CurrentPrice=15.11|Exposure=465.93|MarketValue=468.40999999999997|GainLoss=2.4799999999999613|GainLossPcnt=0.005322687957418413|PositionRiskDecimal=0.12|R=1.758|C=55.81|P=31.746302616609785|InitialStopLimit=12.892|TrailingStopLimit=15.1350001597404|TotalRiskExposure=54.498|RMultiple=0.05R|Volatility=0.307035565376282|Volume=0|LastStopAdjustment=3/9/2023 12:00:00 AM|Comment=Manual close.
Symbol=LW|PurchaseDate=4/4/2023 12:00:00 AM|SellDate=4/5/2023 12:00:00 AM|Shares=16|PurchasePrice=103.89|CurrentPrice=103.86|Exposure=1662.24|MarketValue=1661.76|GainLoss=-0.4800000000000182|GainLossPcnt=-0.00028876696505920814|PositionRiskDecimal=0.12|R=12.4296|C=207.6065|P=16.70258898114179|InitialStopLimit=91.1504|TrailingStopLimit=91.15|TotalRiskExposure=198.8736|RMultiple=-0.00R|Volatility=4.94108152389526|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=PARR|PurchaseDate=4/4/2023 12:00:00 AM|SellDate=4/17/2023 12:00:00 AM|Shares=38|PurchasePrice=27.04|CurrentPrice=24.0711427259445|Exposure=1027.52|MarketValue=914.7034235858911|GainLoss=-112.81657641410891|GainLossPcnt=-0.10979501753163823|PositionRiskDecimal=0.12|R=3.246|C=124.7425|P=38.429605668515094|InitialStopLimit=23.804|TrailingStopLimit=24.0711427259445|TotalRiskExposure=123.348|RMultiple=-0.91R|Volatility=0.420503169298172|Volume=0|LastStopAdjustment=4/10/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=COTY|PurchaseDate=4/6/2023 12:00:00 AM|SellDate=5/3/2023 12:00:00 AM|Shares=31|PurchasePrice=11.63|CurrentPrice=10.87|Exposure=360.53000000000003|MarketValue=336.96999999999997|GainLoss=-23.56000000000006|GainLossPcnt=-0.06534823731728305|PositionRiskDecimal=0.12|R=1.3968|C=43.58|P=31.19988545246277|InitialStopLimit=10.2432|TrailingStopLimit=10.8940714585781|TotalRiskExposure=43.3008|RMultiple=-0.54R|Volatility=0.500409066677094|Volume=0|LastStopAdjustment=4/11/2023 12:00:00 AM|Comment=Manual close.
Symbol=MPC|PurchaseDate=1/30/2023 12:00:00 AM|SellDate=5/4/2023 12:00:00 AM|Shares=6|PurchasePrice=133|CurrentPrice=109.54|Exposure=798|MarketValue=657.24|GainLoss=-140.76|GainLossPcnt=-0.17639097744360901|PositionRiskDecimal=0.12|R=15.4968|C=95.71|P=6.176113778328428|InitialStopLimit=113.6432|TrailingStopLimit=113.6432|TotalRiskExposure=92.9808|RMultiple=-1.51R|Volatility=2.67639589309692|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CROX|PurchaseDate=4/3/2023 12:00:00 AM|SellDate=5/4/2023 12:00:00 AM|Shares=22|PurchasePrice=129.58|CurrentPrice=114.5|Exposure=2850.76|MarketValue=2519|GainLoss=-331.7600000000002|GainLossPcnt=-0.11637598394814021|PositionRiskDecimal=0.12|R=15.4404|C=350.1445|P=22.677165099349757|InitialStopLimit=113.2296|TrailingStopLimit=114.548931369781|TotalRiskExposure=339.6888|RMultiple=-0.98R|Volatility=6.45257425308228|Volume=0|LastStopAdjustment=4/14/2023 12:00:00 AM|Comment=Manual close.
Symbol=WYNN|PurchaseDate=4/4/2023 12:00:00 AM|SellDate=5/16/2023 12:00:00 AM|Shares=5|PurchasePrice=114.41|CurrentPrice=104.78|Exposure=572.05|MarketValue=523.9|GainLoss=-48.14999999999998|GainLossPcnt=-0.0841709640765667|PositionRiskDecimal=0.12|R=13.452|C=73.3475|P=5.452534939042521|InitialStopLimit=98.648|TrailingStopLimit=104.792499341965|TotalRiskExposure=67.26|RMultiple=-0.72R|Volatility=3.07350420951843|Volume=0|LastStopAdjustment=5/1/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=BURBY|PurchaseDate=5/3/2023 12:00:00 AM|SellDate=5/19/2023 12:00:00 AM|Shares=13|PurchasePrice=32.33|CurrentPrice=28.7|Exposure=420.28999999999996|MarketValue=373.09999999999997|GainLoss=-47.19|GainLossPcnt=-0.11227961645530468|PositionRiskDecimal=0.12|R=3.9132|C=54.0151711792945|P=13.803324946155193|InitialStopLimit=28.6968|TrailingStopLimit=28.6968|TotalRiskExposure=50.8716|RMultiple=-0.93R|Volatility=0.60146152973175|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=LW|PurchaseDate=4/6/2023 12:00:00 AM|SellDate=7/25/2023 12:00:00 AM|Shares=16|PurchasePrice=105.03|CurrentPrice=108.048928318024|Exposure=1680.48|MarketValue=1728.782853088384|GainLoss=48.30285308838393|GainLossPcnt=0.028743485842368802|PositionRiskDecimal=0.12|R=12.4296|C=207.6065|P=16.70258898114179|InitialStopLimit=92.43|TrailingStopLimit=108.048928318024|TotalRiskExposure=198.8736|RMultiple=0.24R|Volatility=4.94108152389526|Volume=0|LastStopAdjustment=6/13/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=WING|PurchaseDate=4/24/2023 12:00:00 AM|SellDate=7/27/2023 12:00:00 AM|Shares=3|PurchasePrice=195.62|CurrentPrice=180.61|Exposure=586.86|MarketValue=541.83|GainLoss=-45.02999999999997|GainLossPcnt=-0.07673039566506487|PositionRiskDecimal=0.12|R=23.6184|C=71.2886711792945|P=3.0183531136442134|InitialStopLimit=173.2016|TrailingStopLimit=180.619356575012|TotalRiskExposure=70.8552|RMultiple=-0.64R|Volatility=5.85336685180664|Volume=0|LastStopAdjustment=5/1/2023 12:00:00 AM|Comment=Manual close.
Symbol=EGO|PurchaseDate=7/26/2023 12:00:00 AM|SellDate=7/28/2023 12:00:00 AM|Shares=39|PurchasePrice=10.74|CurrentPrice=9.45|Exposure=418.86|MarketValue=368.54999999999995|GainLoss=-50.31000000000006|GainLossPcnt=-0.12011173184357556|PositionRiskDecimal=0.12|R=1.3008|C=50.913142654419|P=39.13986981428275|InitialStopLimit=9.45|TrailingStopLimit=9.45|TotalRiskExposure=50.7312|RMultiple=-0.99R|Volatility=0.585619449615479|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=PLPC|PurchaseDate=8/1/2023 12:00:00 AM|SellDate=8/3/2023 12:00:00 AM|Shares=3|PurchasePrice=178.36|CurrentPrice=157.73|Exposure=535.08|MarketValue=473.18999999999994|GainLoss=-61.8900000000001|GainLossPcnt=-0.11566494729760053|PositionRiskDecimal=0.12|R=21.5988|C=75.489142654419|P=3.495061885587116|InitialStopLimit=156.96|TrailingStopLimit=156.96|TotalRiskExposure=64.7964|RMultiple=-0.96R|Volatility=8.37193489074707|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=ENIC|PurchaseDate=7/25/2023 12:00:00 AM|SellDate=8/3/2023 12:00:00 AM|Shares=191|PurchasePrice=3.72|CurrentPrice=3.28|Exposure=710.52|MarketValue=626.48|GainLoss=-84.03999999999996|GainLossPcnt=-0.11827956989247307|PositionRiskDecimal=0.12|R=0.4524|C=86.4391426544192|P=191.06795458536516|InitialStopLimit=3.27|TrailingStopLimit=3.27|TotalRiskExposure=86.4084|RMultiple=-0.97R|Volatility=0.126805230975151|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=STNE|PurchaseDate=8/1/2023 12:00:00 AM|SellDate=8/17/2023 12:00:00 AM|Shares=27|PurchasePrice=14.25|CurrentPrice=12.52|Exposure=384.75|MarketValue=338.03999999999996|GainLoss=-46.710000000000036|GainLossPcnt=-0.12140350877192992|PositionRiskDecimal=0.12|R=1.758|C=48.490642654419|P=27.582845650977816|InitialStopLimit=12.54|TrailingStopLimit=12.54|TotalRiskExposure=47.466|RMultiple=-0.98R|Volatility=0.778608620166779|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=GMS|PurchaseDate=8/7/2023 12:00:00 AM|SellDate=9/6/2023 12:00:00 AM|Shares=5|PurchasePrice=75.23|CurrentPrice=66.29|Exposure=376.15000000000003|MarketValue=331.45000000000005|GainLoss=-44.69999999999999|GainLossPcnt=-0.11883557091585799|PositionRiskDecimal=0.12|R=9.132|C=48.540142654419|P=5.315390128604797|InitialStopLimit=66.2|TrailingStopLimit=66.2|TotalRiskExposure=45.66|RMultiple=-0.98R|Volatility=1.20490074157715|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=STRL|PurchaseDate=5/3/2023 12:00:00 AM|SellDate=9/13/2023 12:00:00 AM|Shares=18|PurchasePrice=41.87|CurrentPrice=74.81|Exposure=753.66|MarketValue=1346.58|GainLoss=592.92|GainLossPcnt=0.7867208024838787|PositionRiskDecimal=0.12|R=5.04|C=91.8151711792945|P=18.217295868907637|InitialStopLimit=36.96|TrailingStopLimit=74.9182571983337|TotalRiskExposure=90.72|RMultiple=6.54R|Volatility=1.62504577636719|Volume=0|LastStopAdjustment=9/8/2023 12:00:00 AM|Comment=Manual close.
Symbol=NVDA|PurchaseDate=8/29/2023 12:00:00 AM|SellDate=9/18/2023 12:00:00 AM|Shares=3|PurchasePrice=490.44|CurrentPrice=426|Exposure=1471.32|MarketValue=1278|GainLoss=-193.31999999999994|GainLossPcnt=-0.13139221923171027|PositionRiskDecimal=0.12|R=58.5408|C=196.634642654419|P=3.35893330214857|InitialStopLimit=431.59|TrailingStopLimit=431.59|TotalRiskExposure=175.6224|RMultiple=-1.10R|Volatility=12.867826461792|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CX|PurchaseDate=9/6/2023 12:00:00 AM|SellDate=9/26/2023 12:00:00 AM|Shares=102|PurchasePrice=7.52|CurrentPrice=6.59|Exposure=767.04|MarketValue=672.18|GainLoss=-94.86000000000001|GainLossPcnt=-0.12367021276595747|PositionRiskDecimal=0.12|R=0.9108|C=93.241142654419|P=102.37279606326196|InitialStopLimit=6.62|TrailingStopLimit=6.62|TotalRiskExposure=92.9016|RMultiple=-1.02R|Volatility=0.157804757356644|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=IESC|PurchaseDate=8/4/2023 12:00:00 AM|SellDate=10/13/2023 12:00:00 AM|Shares=9|PurchasePrice=66.8|CurrentPrice=63.69|Exposure=601.1999999999999|MarketValue=573.21|GainLoss=-27.989999999999895|GainLossPcnt=-0.04655688622754474|PositionRiskDecimal=0.12|R=7.9944|C=78.600142654419|P=9.831900161915717|InitialStopLimit=58.78|TrailingStopLimit=64.0674291992188|TotalRiskExposure=71.9496|RMultiple=-0.39R|Volatility=2.61172938346863|Volume=0|LastStopAdjustment=9/11/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=ETN|PurchaseDate=9/13/2023 12:00:00 AM|SellDate=10/20/2023 12:00:00 AM|Shares=4|PurchasePrice=222.45|CurrentPrice=192.24|Exposure=889.8|MarketValue=768.96|GainLoss=-120.83999999999992|GainLossPcnt=-0.13580579905596754|PositionRiskDecimal=0.12|R=26.5692|C=122.218142654419|P=4.599993325144115|InitialStopLimit=195.76|TrailingStopLimit=195.76|TotalRiskExposure=106.2768|RMultiple=-1.14R|Volatility=6.80371046066284|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=PANW|PurchaseDate=10/10/2023 12:00:00 AM|SellDate=10/20/2023 12:00:00 AM|Shares=3|PurchasePrice=257|CurrentPrice=240.68|Exposure=771|MarketValue=722.04|GainLoss=-48.960000000000036|GainLossPcnt=-0.06350194552529187|PositionRiskDecimal=0.12|R=30.8136|C=119.605142654419|P=3.8815699124548573|InitialStopLimit=226.16|TrailingStopLimit=240.90978685379|TotalRiskExposure=92.4408|RMultiple=-0.53R|Volatility=9.1443452835083|Volume=0|LastStopAdjustment=10/16/2023 12:00:00 AM|Comment=Manual close.
Symbol=ANET|PurchaseDate=9/18/2023 12:00:00 AM|SellDate=10/26/2023 12:00:00 AM|Shares=6|PurchasePrice=185.44|CurrentPrice=175.21|Exposure=1112.6399999999999|MarketValue=1051.26|GainLoss=-61.37999999999988|GainLossPcnt=-0.05516609145815348|PositionRiskDecimal=0.12|R=22.3224|C=141.628142654419|P=6.344664671111485|InitialStopLimit=163.19|TrailingStopLimit=175.243285236359|TotalRiskExposure=133.93439999999998|RMultiple=-0.46R|Volatility=6.79390478134155|Volume=0|LastStopAdjustment=10/9/2023 12:00:00 AM|Comment=Manual close.
Symbol=ANIP|PurchaseDate=8/3/2023 12:00:00 AM|SellDate=11/8/2023 12:00:00 AM|Shares=21|PurchasePrice=53.22|CurrentPrice=55.15|Exposure=1117.62|MarketValue=1158.1499999999999|GainLoss=40.52999999999997|GainLossPcnt=0.03626456219466364|PositionRiskDecimal=0.12|R=6.2616|C=134.481142654419|P=21.47712128759726|InitialStopLimit=46.83|TrailingStopLimit=55.7924993753433|TotalRiskExposure=131.4936|RMultiple=0.31R|Volatility=1.76768279075623|Volume=0|LastStopAdjustment=11/1/2023 12:00:00 AM|Comment=Manual close.
Symbol=CELH|PurchaseDate=11/8/2023 12:00:00 AM|SellDate=11/14/2023 12:00:00 AM|Shares=3|PurchasePrice=181|CurrentPrice=159|Exposure=543|MarketValue=477|GainLoss=-66|GainLossPcnt=-0.12154696132596685|PositionRiskDecimal=0.12|R=21.5124|C=85.854|P=3.9909075695877725|InitialStopLimit=159.28|TrailingStopLimit=159.28|TotalRiskExposure=64.5372|RMultiple=-1.02R|Volatility=14.583625793457|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=JBL|PurchaseDate=8/30/2023 12:00:00 AM|SellDate=11/29/2023 12:00:00 AM|Shares=8|PurchasePrice=116|CurrentPrice=118.3|Exposure=928|MarketValue=946.4|GainLoss=18.399999999999977|GainLossPcnt=0.01982758620689653|PositionRiskDecimal=0.12|R=13.8924|C=123.068642654419|P=8.85870279105259|InitialStopLimit=102.08|TrailingStopLimit=120.634142303467|TotalRiskExposure=111.1392|RMultiple=0.17R|Volatility=4.05541944503784|Volume=0|LastStopAdjustment=11/15/2023 12:00:00 AM|Comment=Manual close.
Symbol=ATI|PurchaseDate=11/8/2023 12:00:00 AM|SellDate=12/5/2023 12:00:00 AM|Shares=28|PurchasePrice=43.67|CurrentPrice=40.64|Exposure=1222.76|MarketValue=1137.92|GainLoss=-84.83999999999992|GainLossPcnt=-0.06938401648729098|PositionRiskDecimal=0.12|R=5.202|C=146.544|P=28.17070357554787|InitialStopLimit=38.43|TrailingStopLimit=40.6647859764099|TotalRiskExposure=145.656|RMultiple=-0.58R|Volatility=1.46033883094788|Volume=0|LastStopAdjustment=11/14/2023 12:00:00 AM|Comment=Manual close.
Symbol=MANH|PurchaseDate=12/5/2023 12:00:00 AM|SellDate=1/4/2024 12:00:00 AM|Shares=4|PurchasePrice=228.25|CurrentPrice=200.85|Exposure=913|MarketValue=803.4|GainLoss=-109.60000000000002|GainLossPcnt=-0.1200438116100767|PositionRiskDecimal=0.12|R=27.2616|C=113.0075|P=4.145299615576488|InitialStopLimit=200.86|TrailingStopLimit=200.86|TotalRiskExposure=109.0464|RMultiple=-1.01R|Volatility=4.94011783599854|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=UFPT|PurchaseDate=11/29/2023 12:00:00 AM|SellDate=1/23/2024 12:00:00 AM|Shares=3|PurchasePrice=171.87|CurrentPrice=152.2|Exposure=515.61|MarketValue=456.59999999999997|GainLoss=-59.01000000000005|GainLossPcnt=-0.11444696572991223|PositionRiskDecimal=0.12|R=20.6244|C=81.892|P=3.9706367215531113|InitialStopLimit=151.2456|TrailingStopLimit=152.889928913116|TotalRiskExposure=61.873200000000004|RMultiple=-0.95R|Volatility=9.61385440826416|Volume=0|LastStopAdjustment=12/13/2023 12:00:00 AM|Comment=Manual close.
Symbol=AMPH|PurchaseDate=11/9/2023 12:00:00 AM|SellDate=2/21/2024 12:00:00 AM|Shares=9|PurchasePrice=52|CurrentPrice=52.16|Exposure=468|MarketValue=469.43999999999994|GainLoss=1.4399999999999409|GainLossPcnt=0.0030769230769229507|PositionRiskDecimal=0.12|R=6.2892|C=57.64|P=9.164917636583349|InitialStopLimit=45.76|TrailingStopLimit=51.1286425495148|TotalRiskExposure=56.6028|RMultiple=0.03R|Volatility=3.85634922981262|Volume=0|LastStopAdjustment=12/14/2023 12:00:00 AM|Comment=Closed due to DMA break
Symbol=PLAB|PurchaseDate=11/14/2023 12:00:00 AM|SellDate=2/21/2024 12:00:00 AM|Shares=22|PurchasePrice=21.38|CurrentPrice=27.89|Exposure=470.35999999999996|MarketValue=613.58|GainLoss=143.22000000000008|GainLossPcnt=0.30449017773620224|PositionRiskDecimal=0.12|R=2.5548|C=58.09|P=22.737591983716925|InitialStopLimit=18.81|TrailingStopLimit=29.0321999263763|TotalRiskExposure=56.205600000000004|RMultiple=2.55R|Volatility=0.868534803390503|Volume=0|LastStopAdjustment=2/8/2024 12:00:00 AM|Comment=Manual close.
Symbol=NEU|PurchaseDate=2/20/2024 12:00:00 AM|SellDate=4/18/2024 12:00:00 AM|Shares=1|PurchasePrice=609.01|CurrentPrice=583.22|Exposure=609.01|MarketValue=583.22|GainLoss=-25.789999999999964|GainLossPcnt=-0.042347416298582886|PositionRiskDecimal=0.12|R=73.0956|C=73.588|P=1.006736383585332|InitialStopLimit=535.93|TrailingStopLimit=590.138356208801|TotalRiskExposure=73.0956|RMultiple=-0.35R|Volatility=10.5676956176758|Volume=0|LastStopAdjustment=4/2/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=AVGO|PurchaseDate=10/13/2023 12:00:00 AM|SellDate=4/18/2024 12:00:00 AM|Shares=1|PurchasePrice=890.97|CurrentPrice=1269.38|Exposure=890.97|MarketValue=1269.38|GainLoss=378.4100000000001|GainLossPcnt=0.42471688160095183|PositionRiskDecimal=0.12|R=105.9816|C=109.885485794067|P=1.0368355053525045|InitialStopLimit=784.05|TrailingStopLimit=1269.95986206055|TotalRiskExposure=105.9816|RMultiple=3.57R|Volatility=19.4005393981934|Volume=0|LastStopAdjustment=4/3/2024 12:00:00 AM|Comment=Manual close.
Symbol=CLS|PurchaseDate=1/4/2024 12:00:00 AM|SellDate=4/19/2024 12:00:00 AM|Shares=32|PurchasePrice=27.92|CurrentPrice=42.75|Exposure=893.44|MarketValue=1368|GainLoss=474.55999999999995|GainLossPcnt=0.531160458452722|PositionRiskDecimal=0.12|R=3.3504|C=107.5275|P=32.09392908309456|InitialStopLimit=24.5696|TrailingStopLimit=42.71468542099|TotalRiskExposure=107.2128|RMultiple=4.43R|Volatility=0.907680511474609|Volume=0|LastStopAdjustment=4/10/2024 12:00:00 AM|Comment=Manual close.
Symbol=QLYS|PurchaseDate=4/24/2024 12:00:00 AM|SellDate=5/8/2024 12:00:00 AM|Shares=4|PurchasePrice=169.22|CurrentPrice=151.37|Exposure=676.88|MarketValue=605.48|GainLoss=-71.39999999999998|GainLossPcnt=-0.10548398534452189|PositionRiskDecimal=0.12|R=20.6532|C=102.358|P=4.95603586853369|InitialStopLimit=151.46|TrailingStopLimit=151.46|TotalRiskExposure=82.6128|RMultiple=-0.86R|Volatility=4.65934801101685|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=APG|PurchaseDate=11/8/2023 12:00:00 AM|SellDate=5/17/2024 12:00:00 AM|Shares=77|PurchasePrice=27.08|CurrentPrice=36.07|Exposure=2085.16|MarketValue=2777.39|GainLoss=692.23|GainLossPcnt=0.33197932053175777|PositionRiskDecimal=0.12|R=3.2304|C=250.186|P=77.44737493808816|InitialStopLimit=23.83|TrailingStopLimit=36.095428853035|TotalRiskExposure=248.7408|RMultiple=2.78R|Volatility=1.05591440200806|Volume=0|LastStopAdjustment=4/1/2024 12:00:00 AM|Comment=Manual close.
Symbol=FTAI|PurchaseDate=1/23/2024 12:00:00 AM|SellDate=6/4/2024 12:00:00 AM|Shares=14|PurchasePrice=51|CurrentPrice=78.42|Exposure=714|MarketValue=1097.88|GainLoss=383.8800000000001|GainLossPcnt=0.5376470588235296|PositionRiskDecimal=0.12|R=6.036|C=85.6855|P=14.19574221338635|InitialStopLimit=44.88|TrailingStopLimit=78.4481719017029|TotalRiskExposure=84.50399999999999|RMultiple=4.54R|Volatility=1.01389157772064|Volume=0|LastStopAdjustment=5/31/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=HNI|PurchaseDate=5/17/2024 12:00:00 AM|SellDate=6/10/2024 12:00:00 AM|Shares=49|PurchasePrice=45.86|CurrentPrice=43.59|Exposure=2247.14|MarketValue=2135.9100000000003|GainLoss=-111.22999999999956|GainLossPcnt=-0.049498473615350876|PositionRiskDecimal=0.12|R=5.5176|C=272.5435|P=49.39529868058576|InitialStopLimit=40.36|TrailingStopLimit=43.6133572387695|TotalRiskExposure=270.3624|RMultiple=-0.41R|Volatility=1.81974124908447|Volume=0|LastStopAdjustment=6/3/2024 12:00:00 AM|Comment=Manual close.
Symbol=SNPS|PurchaseDate=6/4/2024 12:00:00 AM|SellDate=7/18/2024 12:00:00 AM|Shares=3|PurchasePrice=565.31|CurrentPrice=560.69|Exposure=1695.9299999999998|MarketValue=1682.0700000000002|GainLoss=-13.859999999999673|GainLossPcnt=-0.008172507119987071|PositionRiskDecimal=0.12|R=67.4076|C=215.100220331192|P=3.1910381074417717|InitialStopLimit=497.47|TrailingStopLimit=560.918435211182|TotalRiskExposure=202.2228|RMultiple=-0.07R|Volatility=11.9729852676392|Volume=0|LastStopAdjustment=7/10/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=LLY|PurchaseDate=6/10/2024 12:00:00 AM|SellDate=7/25/2024 12:00:00 AM|Shares=2|PurchasePrice=880|CurrentPrice=828.88|Exposure=1760|MarketValue=1657.76|GainLoss=-102.24000000000001|GainLossPcnt=-0.058090909090909096|PositionRiskDecimal=0.12|R=103.8|C=237.0795|P=2.2840028901734106|InitialStopLimit=774.4|TrailingStopLimit=829.77307510376|TotalRiskExposure=207.6|RMultiple=-0.49R|Volatility=34.7464294433594|Volume=0|LastStopAdjustment=6/18/2024 12:00:00 AM|Comment=Manual close.
Symbol=PANW|PurchaseDate=4/24/2024 12:00:00 AM|SellDate=8/2/2024 12:00:00 AM|Shares=4|PurchasePrice=286|CurrentPrice=306.17|Exposure=1144|MarketValue=1224.68|GainLoss=80.68000000000006|GainLossPcnt=0.07052447552447558|PositionRiskDecimal=0.12|R=35.2584|C=161.122|P=4.569747918226579|InitialStopLimit=258.56|TrailingStopLimit=309.682215805054|TotalRiskExposure=141.0336|RMultiple=0.57R|Volatility=15.2390480041504|Volume=0|LastStopAdjustment=6/28/2024 12:00:00 AM|Comment=Manual close.
Symbol=TILE|PurchaseDate=5/8/2024 12:00:00 AM|SellDate=8/5/2024 12:00:00 AM|Shares=52|PurchasePrice=16.03|CurrentPrice=16.45|Exposure=833.5600000000001|MarketValue=855.4|GainLoss=21.839999999999918|GainLossPcnt=0.026200873362445316|PositionRiskDecimal=0.12|R=1.914|C=100.352|P=52.430512016718914|InitialStopLimit=14.11|TrailingStopLimit=14.8027858674526|TotalRiskExposure=99.52799999999999|RMultiple=0.22R|Volatility=0.379707545042038|Volume=0|LastStopAdjustment=7/16/2024 12:00:00 AM|Comment=Manual close.
Symbol=KTOS|PurchaseDate=2/23/2024 12:00:00 AM|SellDate=8/8/2024 12:00:00 AM|Shares=30|PurchasePrice=17.94|CurrentPrice=18.57|Exposure=538.2|MarketValue=557.1|GainLoss=18.899999999999977|GainLossPcnt=0.03511705685618725|PositionRiskDecimal=0.12|R=2.4216|C=73.686|P=30.42864222001982|InitialStopLimit=15.79|TrailingStopLimit=18.6699286651611|TotalRiskExposure=72.64800000000001|RMultiple=0.26R|Volatility=0.288610696792603|Volume=0|LastStopAdjustment=7/10/2024 12:00:00 AM|Comment=Manual close.
Symbol=CSWI|PurchaseDate=4/18/2024 12:00:00 AM|SellDate=9/5/2024 12:00:00 AM|Shares=4|PurchasePrice=233.42|CurrentPrice=287.01|Exposure=933.68|MarketValue=1148.04|GainLoss=214.36|GainLossPcnt=0.2295861537143347|PositionRiskDecimal=0.12|R=28.0776|C=139.406|P=4.965025500755051|InitialStopLimit=205.41|TrailingStopLimit=287.677069473267|TotalRiskExposure=112.3104|RMultiple=1.91R|Volatility=10.8258943557739|Volume=0|LastStopAdjustment=8/23/2024 12:00:00 AM|Comment=Manual close.
Symbol=XPO|PurchaseDate=7/18/2024 12:00:00 AM|SellDate=9/5/2024 12:00:00 AM|Shares=17|PurchasePrice=111.54|CurrentPrice=100.91|Exposure=1896.18|MarketValue=1715.47|GainLoss=-180.71000000000004|GainLossPcnt=-0.09530213376367225|PositionRiskDecimal=0.12|R=13.3176|C=233.217265281677|P=17.511959007754925|InitialStopLimit=97.66|TrailingStopLimit=100.915784378052|TotalRiskExposure=226.3992|RMultiple=-0.80R|Volatility=13.2911081314087|Volume=0|LastStopAdjustment=7/31/2024 12:00:00 AM|Comment=Manual close.
Symbol=PPC|PurchaseDate=9/4/2024 12:00:00 AM|SellDate=10/3/2024 12:00:00 AM|Shares=37|PurchasePrice=45.44|CurrentPrice=43.8|Exposure=1681.28|MarketValue=1620.6|GainLoss=-60.680000000000064|GainLossPcnt=-0.03609154929577468|PositionRiskDecimal=0.12|R=5.544|C=207.801|P=37.48214285714286|InitialStopLimit=39.99|TrailingStopLimit=43.7971428728104|TotalRiskExposure=205.128|RMultiple=-0.30R|Volatility=0.899818062782288|Volume=0|LastStopAdjustment=10/2/2024 12:00:00 AM|Comment=Manual close.
Symbol=LPX|PurchaseDate=8/8/2024 12:00:00 AM|SellDate=10/23/2024 12:00:00 AM|Shares=9|PurchasePrice=96.04|CurrentPrice=98.75|Exposure=864.36|MarketValue=888.75|GainLoss=24.389999999999986|GainLossPcnt=0.028217409412744674|PositionRiskDecimal=0.12|R=11.496|C=107.8435|P=9.380958594293668|InitialStopLimit=84.52|TrailingStopLimit=98.7737852478027|TotalRiskExposure=103.464|RMultiple=0.24R|Volatility=8.17436504364014|Volume=0|LastStopAdjustment=9/30/2024 12:00:00 AM|Comment=Manual close.
Symbol=CTLT|PurchaseDate=8/5/2024 12:00:00 AM|SellDate=10/25/2024 12:00:00 AM|Shares=19|PurchasePrice=59.15|CurrentPrice=59.12|Exposure=1123.85|MarketValue=1123.28|GainLoss=-0.5699999999999363|GainLossPcnt=-0.0005071851225696814|PositionRiskDecimal=0.12|R=7.098|C=136.701|P=19.259087066779372|InitialStopLimit=52.052|TrailingStopLimit=59.1266425776482|TotalRiskExposure=134.862|RMultiple=-0.00R|Volatility=0.741820454597473|Volume=0|LastStopAdjustment=10/11/2024 12:00:00 AM|Comment=Manual close.
Symbol=RYCEY|PurchaseDate=10/23/2024 12:00:00 AM|SellDate=11/14/2024 12:00:00 AM|Shares=186|PurchasePrice=7.33|CurrentPrice=6.95278570532799|Exposure=1363.38|MarketValue=1293.2181411910062|GainLoss=-70.16185880899388|GainLossPcnt=-0.051461704593725795|PositionRiskDecimal=0.12|R=0.8856|C=165.148|P=186.48148148148147|InitialStopLimit=6.45|TrailingStopLimit=6.95278570532799|TotalRiskExposure=164.72160000000002|RMultiple=-0.43R|Volatility=0.230236276984215|Volume=0|LastStopAdjustment=10/28/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=LDOS|PurchaseDate=9/4/2024 12:00:00 AM|SellDate=11/15/2024 12:00:00 AM|Shares=6|PurchasePrice=155.52|CurrentPrice=161.00221446991|Exposure=933.1200000000001|MarketValue=966.0132868194601|GainLoss=32.893286819459945|GainLossPcnt=0.03525086464705498|PositionRiskDecimal=0.12|R=18.7308|C=122.331|P=6.531007751937985|InitialStopLimit=136.86|TrailingStopLimit=161.00221446991|TotalRiskExposure=112.38479999999998|RMultiple=0.29R|Volatility=5.35368156433105|Volume=0|LastStopAdjustment=10/25/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=SFM|PurchaseDate=7/25/2024 12:00:00 AM|SellDate=12/9/2024 12:00:00 AM|Shares=22|PurchasePrice=84.63|CurrentPrice=149.2|Exposure=1861.86|MarketValue=3282.3999999999996|GainLoss=1420.5399999999997|GainLossPcnt=0.7629682145811177|PositionRiskDecimal=0.12|R=9.9852|C=221.262|P=22.158995313063333|InitialStopLimit=74.47|TrailingStopLimit=149.36765712738|TotalRiskExposure=219.67440000000002|RMultiple=6.47R|Volatility=4.38531112670898|Volume=0|LastStopAdjustment=11/29/2024 12:00:00 AM|Comment=Manual close.
Symbol=AWI|PurchaseDate=10/25/2024 12:00:00 AM|SellDate=12/17/2024 12:00:00 AM|Shares=9|PurchasePrice=137.15|CurrentPrice=149.86|Exposure=1234.3500000000001|MarketValue=1348.7400000000002|GainLoss=114.3900000000001|GainLossPcnt=0.09267225665329938|PositionRiskDecimal=0.12|R=16.3428|C=153.143|P=9.370670876471596|InitialStopLimit=120.69|TrailingStopLimit=150.520071086884|TotalRiskExposure=147.08520000000001|RMultiple=0.78R|Volatility=3.24569320678711|Volume=0|LastStopAdjustment=11/29/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=CLS|PurchaseDate=10/3/2024 12:00:00 AM|SellDate=1/27/2025 12:00:00 AM|Shares=33|PurchasePrice=52.97|CurrentPrice=92.41|Exposure=1748.01|MarketValue=3049.5299999999997|GainLoss=1301.5199999999998|GainLossPcnt=0.7445723994713987|PositionRiskDecimal=0.12|R=6.1764|C=208.111|P=33.69454698529888|InitialStopLimit=46.61|TrailingStopLimit=92.478657875061|TotalRiskExposure=203.8212|RMultiple=6.39R|Volatility=3.07577896118164|Volume=0|LastStopAdjustment=1/8/2025 12:00:00 AM|Comment=Manual close.
Symbol=DVA|PurchaseDate=2/6/2025 12:00:00 AM|SellDate=2/14/2025 12:00:00 AM|Shares=10|PurchasePrice=171.14|CurrentPrice=153|Exposure=1711.3999999999999|MarketValue=1530|GainLoss=-181.39999999999986|GainLossPcnt=-0.10599509173775849|PositionRiskDecimal=0.12|R=20.6484|C=220.708071400525|P=10.688870391920197|InitialStopLimit=150.6|TrailingStopLimit=160.963856563568|TotalRiskExposure=206.48399999999998|RMultiple=-0.88R|Volatility=3.60059523582458|Volume=0|LastStopAdjustment=2/11/2025 12:00:00 AM|Comment=Manual close.
Symbol=GDDY|PurchaseDate=8/5/2024 12:00:00 AM|SellDate=2/14/2025 12:00:00 AM|Shares=13|PurchasePrice=147.68|CurrentPrice=191.15|Exposure=1919.8400000000001|MarketValue=2484.9500000000003|GainLoss=565.1100000000001|GainLossPcnt=0.2943526543878657|PositionRiskDecimal=0.12|R=17.6256|C=232.173|P=13.17248774509804|InitialStopLimit=129.96|TrailingStopLimit=191.86757270813|TotalRiskExposure=229.13279999999997|RMultiple=2.47R|Volatility=2.29647755622864|Volume=0|LastStopAdjustment=1/24/2025 12:00:00 AM|Comment=Manual close.
Symbol=SKYW|PurchaseDate=2/6/2025 12:00:00 AM|SellDate=2/19/2025 12:00:00 AM|Shares=45|PurchasePrice=116.31|CurrentPrice=102.07|Exposure=5233.95|MarketValue=4593.15|GainLoss=-640.8000000000002|GainLossPcnt=-0.12243143323875853|PositionRiskDecimal=0.12|R=13.9404|C=638.420571400525|P=45.796431336297736|InitialStopLimit=102.35|TrailingStopLimit=102.35|TotalRiskExposure=627.318|RMultiple=-1.02R|Volatility=2.51104688644409|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=OSPN|PurchaseDate=2/14/2025 12:00:00 AM|SellDate=2/20/2025 12:00:00 AM|Shares=102|PurchasePrice=20.26|CurrentPrice=17.82|Exposure=2066.52|MarketValue=1817.64|GainLoss=-248.87999999999988|GainLossPcnt=-0.12043435340572552|PositionRiskDecimal=0.12|R=2.424|C=248.870071400525|P=102.66917136985356|InitialStopLimit=17.83|TrailingStopLimit=17.83|TotalRiskExposure=247.248|RMultiple=-1.01R|Volatility=0.499441653490067|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=NWPX|PurchaseDate=2/6/2025 12:00:00 AM|SellDate=2/27/2025 12:00:00 AM|Shares=60|PurchasePrice=52.72|CurrentPrice=46.09|Exposure=3163.2|MarketValue=2765.4|GainLoss=-397.7999999999997|GainLossPcnt=-0.12575872534142632|PositionRiskDecimal=0.12|R=6.2532|C=377.038071400525|P=60.29522027130509|InitialStopLimit=46.39|TrailingStopLimit=46.39|TotalRiskExposure=375.192|RMultiple=-1.06R|Volatility=3.85384011268616|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=AZZ|PurchaseDate=2/7/2025 12:00:00 AM|SellDate=3/4/2025 12:00:00 AM|Shares=7|PurchasePrice=96.13|CurrentPrice=87.42|Exposure=672.91|MarketValue=611.94|GainLoss=-60.969999999999914|GainLossPcnt=-0.09060647040466023|PositionRiskDecimal=0.12|R=11.466|C=81.895571400525|P=7.142470905330979|InitialStopLimit=84.59|TrailingStopLimit=87.9439997005463|TotalRiskExposure=80.262|RMultiple=-0.76R|Volatility=4.41244173049927|Volume=0|LastStopAdjustment=2/13/2025 12:00:00 AM|Comment=Manual close.
Symbol=AWI|PurchaseDate=2/14/2025 12:00:00 AM|SellDate=4/3/2025 12:00:00 AM|Shares=7|PurchasePrice=153.74|CurrentPrice=133.24|Exposure=1076.18|MarketValue=932.6800000000001|GainLoss=-143.5|GainLossPcnt=-0.13334200598412904|PositionRiskDecimal=0.12|R=18.4644|C=145.850071400525|P=7.89898785774382|InitialStopLimit=135.29|TrailingStopLimit=135.29|TotalRiskExposure=129.2508|RMultiple=-1.11R|Volatility=6.83095169067383|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=IDCC|PurchaseDate=2/7/2025 12:00:00 AM|SellDate=4/4/2025 12:00:00 AM|Shares=5|PurchasePrice=204.9|CurrentPrice=189.59|Exposure=1024.5|MarketValue=947.95|GainLoss=-76.54999999999995|GainLossPcnt=-0.0747193753050268|PositionRiskDecimal=0.12|R=24.5268|C=132.993071400525|P=5.422357233741254|InitialStopLimit=180.31|TrailingStopLimit=195.563070678711|TotalRiskExposure=122.63400000000001|RMultiple=-0.62R|Volatility=3.26635074615479|Volume=0|LastStopAdjustment=3/17/2025 12:00:00 AM|Comment=Manual close.
Symbol=EXEL|PurchaseDate=3/4/2025 12:00:00 AM|SellDate=4/4/2025 12:00:00 AM|Shares=84|PurchasePrice=38.14|CurrentPrice=34.65|Exposure=3203.76|MarketValue=2910.6|GainLoss=-293.1600000000003|GainLossPcnt=-0.09150498164656537|PositionRiskDecimal=0.12|R=4.5948|C=389.4065|P=84.74939061547836|InitialStopLimit=33.56|TrailingStopLimit=34.6096426153183|TotalRiskExposure=385.96320000000003|RMultiple=-0.76R|Volatility=0.690388977527618|Volume=0|LastStopAdjustment=3/10/2025 12:00:00 AM|Comment=Manual close.
TotalCandidates=40
Symbol=CDNS|PurchaseDate=8/25/2020 12:00:00 AM|SellDate=9/3/2020 12:00:00 AM|Shares=16|PurchasePrice=111.82|CurrentPrice=109.57|Exposure=1789.12|MarketValue=1753.12|GainLoss=-36|GainLossPcnt=-0.0201216240386335|PositionRiskDecimal=0.12|R=13.3512|C=225.6365|P=16.9000913775541|InitialStopLimit=97.9088|TrailingStopLimit=109.599856939316|TotalRiskExposure=213.6192|RMultiple=-0.17R|Volatility=2.3209912776947|Volume=1767980|LastStopAdjustment=9/2/2020 12:00:00 AM|Comment=Manual close.
Symbol=LULU|PurchaseDate=8/28/2020 12:00:00 AM|SellDate=9/4/2020 12:00:00 AM|Shares=3|PurchasePrice=377.5|CurrentPrice=370.23|Exposure=1132.5|MarketValue=1110.69|GainLoss=-21.8099999999999|GainLossPcnt=-0.0192582781456953|PositionRiskDecimal=0.12|R=45.2976|C=136.6285|P=3.01624147857723|InitialStopLimit=332.1824|TrailingStopLimit=372.562428512573|TotalRiskExposure=135.8928|RMultiple=-0.16R|Volatility=25.858959197998|Volume=2871665|LastStopAdjustment=9/2/2020 12:00:00 AM|Comment=Manual close.
Symbol=POOL|PurchaseDate=9/1/2020 12:00:00 AM|SellDate=9/8/2020 12:00:00 AM|Shares=2|PurchasePrice=332.21|CurrentPrice=288.44|Exposure=664.42|MarketValue=576.88|GainLoss=-87.54|GainLossPcnt=-0.131754011017128|PositionRiskDecimal=0.12|R=39.5904|C=80.0065|P=2.02085606611704|InitialStopLimit=290.3296|TrailingStopLimit=290.3296|TotalRiskExposure=79.1808|RMultiple=-1.11R|Volatility=4.28818368911743|Volume=259404|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=MPWR|PurchaseDate=8/25/2020 12:00:00 AM|SellDate=9/11/2020 12:00:00 AM|Shares=11|PurchasePrice=272.11|CurrentPrice=238.92|Exposure=2993.21|MarketValue=2628.12|GainLoss=-365.09|GainLossPcnt=-0.121972731615891|PositionRiskDecimal=0.12|R=32.5884|C=375|P=11.5071620576647|InitialStopLimit=238.9816|TrailingStopLimit=238.9816|TotalRiskExposure=358.4724|RMultiple=-1.02R|Volatility=11.7428579330444|Volume=559458|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=MASI|PurchaseDate=10/9/2020 12:00:00 AM|SellDate=10/30/2020 12:00:00 AM|Shares=7|PurchasePrice=239.34|CurrentPrice=222.69|Exposure=1675.38|MarketValue=1558.83|GainLoss=-116.55|GainLossPcnt=-0.0695663073451994|PositionRiskDecimal=0.12|R=29.0916|C=203.927|P=7.00982414167663|InitialStopLimit=213.3384|TrailingStopLimit=223.030285377502|TotalRiskExposure=203.6412|RMultiple=-0.57R|Volatility=13.6757469177246|Volume=630724|LastStopAdjustment=10/23/2020 12:00:00 AM|Comment=Manual close.
Symbol=ZNGA|PurchaseDate=10/7/2020 12:00:00 AM|SellDate=11/5/2020 12:00:00 AM|Shares=304|PurchasePrice=9.64|CurrentPrice=9.07885723829269|Exposure=2930.56|MarketValue=2759.97260044098|GainLoss=-170.587399559023|GainLossPcnt=-0.0582098300526257|PositionRiskDecimal=0.12|R=1.1496|C=350.455|P=304.849512874043|InitialStopLimit=8.4304|TrailingStopLimit=9.07885723829269|TotalRiskExposure=349.4784|RMultiple=-0.49R|Volatility=0.254673659801483|Volume=26084500|LastStopAdjustment=11/4/2020 12:00:00 AM|Comment=Manual close.
Symbol=TREX|PurchaseDate=10/20/2020 12:00:00 AM|SellDate=11/10/2020 12:00:00 AM|Shares=7|PurchasePrice=76.49|CurrentPrice=66.86|Exposure=535.43|MarketValue=468.02|GainLoss=-67.41|GainLossPcnt=-0.125898810302|PositionRiskDecimal=0.12|R=9.1248|C=71.1215|P=7.79430782044538|InitialStopLimit=66.9152|TrailingStopLimit=66.9152|TotalRiskExposure=63.8736|RMultiple=-1.06R|Volatility=6.08851718902588|Volume=859880|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=KNSL|PurchaseDate=10/27/2020 12:00:00 AM|SellDate=12/22/2020 12:00:00 AM|Shares=1|PurchasePrice=204.54|CurrentPrice=218|Exposure=204.54|MarketValue=218|GainLoss=13.46|GainLossPcnt=0.0658061992764252|PositionRiskDecimal=0.12|R=24.96|C=43.3895|P=1.73836137820513|InitialStopLimit=183.04|TrailingStopLimit=218.212285137177|TotalRiskExposure=24.96|RMultiple=0.54R|Volatility=4.44130897521973|Volume=93971|LastStopAdjustment=12/14/2020 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=IYJ|PurchaseDate=11/27/2020 12:00:00 AM|SellDate=1/27/2021 12:00:00 AM|Shares=24|PurchasePrice=95.74|CurrentPrice=93.86|Exposure=2297.76|MarketValue=2252.64|GainLoss=-45.1199999999999|GainLossPcnt=-0.019636515562983|PositionRiskDecimal=0.12|R=22.998|C=277.3995|P=12.0618966866684|InitialStopLimit=84.25|TrailingStopLimit=94.3752856349945|TotalRiskExposure=551.952|RMultiple=-0.08R|Volatility=8.02466487884521|Volume=59046|LastStopAdjustment=1/6/2021 12:00:00 AM|Comment=Manual close.
Symbol=SMG|PurchaseDate=10/27/2020 12:00:00 AM|SellDate=2/23/2021 12:00:00 AM|Shares=1|PurchasePrice=152.05|CurrentPrice=218.16|Exposure=152.05|MarketValue=218.16|GainLoss=66.11|GainLossPcnt=0.434791187109503|PositionRiskDecimal=0.12|R=18.6228|C=32.9895|P=1.77145756814228|InitialStopLimit=136.5672|TrailingStopLimit=218.696714553833|TotalRiskExposure=18.6228|RMultiple=3.55R|Volatility=5.33200883865356|Volume=272884|LastStopAdjustment=2/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=FXL|PurchaseDate=12/7/2020 12:00:00 AM|SellDate=2/23/2021 12:00:00 AM|Shares=12|PurchasePrice=107.76|CurrentPrice=116.33|Exposure=1293.12|MarketValue=1395.96|GainLoss=102.84|GainLossPcnt=0.0795285820341499|PositionRiskDecimal=0.12|R=12.936|C=162.4095|P=12.5548469387755|InitialStopLimit=94.864|TrailingStopLimit=117.495857133865|TotalRiskExposure=155.232|RMultiple=0.66R|Volatility=2.97189211845398|Volume=106863|LastStopAdjustment=2/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=MTUM|PurchaseDate=2/9/2021 12:00:00 AM|SellDate=3/4/2021 12:00:00 AM|Shares=13|PurchasePrice=176.75|CurrentPrice=154.6|Exposure=2297.75|MarketValue=2009.8|GainLoss=-287.95|GainLossPcnt=-0.125318246110325|PositionRiskDecimal=0.12|R=21.084|C=285.772|P=13.553974577879|InitialStopLimit=154.616|TrailingStopLimit=154.616|TotalRiskExposure=274.092|RMultiple=-1.05R|Volatility=2.52558350563049|Volume=547268|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=QQQE|PurchaseDate=12/23/2020 12:00:00 AM|SellDate=3/4/2021 12:00:00 AM|Shares=8|PurchasePrice=74.12|CurrentPrice=72.5|Exposure=592.96|MarketValue=580|GainLoss=-12.96|GainLossPcnt=-0.0218564490016191|PositionRiskDecimal=0.12|R=8.9196|C=77.788|P=8.72101887977039|InitialStopLimit=65.4104|TrailingStopLimit=72.5744287014008|TotalRiskExposure=71.3568|RMultiple=-0.18R|Volatility=0.948996961116791|Volume=45324|LastStopAdjustment=2/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=NVMI|PurchaseDate=10/19/2020 12:00:00 AM|SellDate=5/11/2021 12:00:00 AM|Shares=17|PurchasePrice=58.82|CurrentPrice=84.07|Exposure=999.94|MarketValue=1429.19|GainLoss=429.25|GainLossPcnt=0.429275756545392|PositionRiskDecimal=0.12|R=6.9228|C=120.158|P=17.3568498295487|InitialStopLimit=50.7672|TrailingStopLimit=85.1721433067322|TotalRiskExposure=117.6876|RMultiple=3.65R|Volatility=2.07994079589844|Volume=488896|LastStopAdjustment=4/21/2021 12:00:00 AM|Comment=Manual close.
Symbol=LH|PurchaseDate=12/15/2020 12:00:00 AM|SellDate=5/19/2021 12:00:00 AM|Shares=3|PurchasePrice=207|CurrentPrice=264.1|Exposure=621|MarketValue=792.3|GainLoss=171.3|GainLossPcnt=0.275845410628019|PositionRiskDecimal=0.12|R=24.6924|C=97.7535|P=3.95884968654323|InitialStopLimit=181.0776|TrailingStopLimit=264.399571075439|TotalRiskExposure=74.0772|RMultiple=2.31R|Volatility=3.39703297615051|Volume=466956|LastStopAdjustment=5/7/2021 12:00:00 AM|Comment=Manual close.
Symbol=EWO|PurchaseDate=3/3/2021 12:00:00 AM|SellDate=6/17/2021 12:00:00 AM|Shares=96|PurchasePrice=21.56|CurrentPrice=24.85|Exposure=2069.76|MarketValue=2385.6|GainLoss=315.840000000001|GainLossPcnt=0.152597402597403|PositionRiskDecimal=0.12|R=2.6016|C=251.5905|P=96.706065498155|InitialStopLimit=19.0784|TrailingStopLimit=24.8752857780457|TotalRiskExposure=249.7536|RMultiple=1.26R|Volatility=0.367534816265106|Volume=17264|LastStopAdjustment=6/9/2021 12:00:00 AM|Comment=Manual close.
Symbol=JEF|PurchaseDate=3/10/2021 12:00:00 AM|SellDate=6/17/2021 12:00:00 AM|Shares=72|PurchasePrice=31.86|CurrentPrice=30.2|Exposure=2293.92|MarketValue=2174.4|GainLoss=-119.52|GainLossPcnt=-0.0521029504080351|PositionRiskDecimal=0.12|R=3.8424|C=277.5925|P=72.2445606912346|InitialStopLimit=28.1776|TrailingStopLimit=30.2215713357925|TotalRiskExposure=276.6528|RMultiple=-0.43R|Volatility=0.910626769065857|Volume=2590910|LastStopAdjustment=4/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=IGE|PurchaseDate=3/22/2021 12:00:00 AM|SellDate=6/17/2021 12:00:00 AM|Shares=28|PurchasePrice=27.19|CurrentPrice=30.1|Exposure=761.32|MarketValue=842.8|GainLoss=81.48|GainLossPcnt=0.107024641412284|PositionRiskDecimal=0.12|R=3.3288|C=95.2575|P=28.6161679884643|InitialStopLimit=24.4112|TrailingStopLimit=30.1015714466572|TotalRiskExposure=93.2064|RMultiple=0.87R|Volatility=0.968399524688721|Volume=152789|LastStopAdjustment=6/16/2021 12:00:00 AM|Comment=Manual close.
Symbol=FUL|PurchaseDate=3/16/2021 12:00:00 AM|SellDate=6/24/2021 12:00:00 AM|Shares=22|PurchasePrice=61.49|CurrentPrice=63|Exposure=1352.78|MarketValue=1386|GainLoss=33.22|GainLossPcnt=0.0245568385103269|PositionRiskDecimal=0.12|R=7.3644|C=162.8965|P=22.1194530443756|InitialStopLimit=54.0056|TrailingStopLimit=64.2902858066559|TotalRiskExposure=162.0168|RMultiple=0.21R|Volatility=1.62357997894287|Volume=461810|LastStopAdjustment=6/7/2021 12:00:00 AM|Comment=Manual close.
Symbol=APA|PurchaseDate=6/22/2021 12:00:00 AM|SellDate=7/15/2021 12:00:00 AM|Shares=89|PurchasePrice=22.33|CurrentPrice=19.32|Exposure=1987.37|MarketValue=1719.48|GainLoss=-267.89|GainLossPcnt=-0.134796238244514|PositionRiskDecimal=0.12|R=2.634|C=236.799|P=89.9009111617312|InitialStopLimit=19.316|TrailingStopLimit=19.316|TotalRiskExposure=234.426|RMultiple=-1.14R|Volatility=1.6371910572052|Volume=7153620|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=DFIN|PurchaseDate=6/28/2021 12:00:00 AM|SellDate=7/19/2021 12:00:00 AM|Shares=38|PurchasePrice=32.34|CurrentPrice=29.87|Exposure=1228.92|MarketValue=1135.06|GainLoss=-93.8600000000001|GainLossPcnt=-0.0763760049474336|PositionRiskDecimal=0.12|R=3.8544|C=149.6705|P=38.8310761726858|InitialStopLimit=28.2656|TrailingStopLimit=29.9341433095932|TotalRiskExposure=146.4672|RMultiple=-0.64R|Volatility=0.758042216300964|Volume=166842|LastStopAdjustment=7/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=JBL|PurchaseDate=6/23/2021 12:00:00 AM|SellDate=7/19/2021 12:00:00 AM|Shares=20|PurchasePrice=57.06|CurrentPrice=53.54|Exposure=1141.2|MarketValue=1070.8|GainLoss=-70.4000000000001|GainLossPcnt=-0.0616894497020681|PositionRiskDecimal=0.12|R=6.7884|C=137.4305|P=20.2449030699428|InitialStopLimit=49.7816|TrailingStopLimit=54.5449284219742|TotalRiskExposure=135.768|RMultiple=-0.52R|Volatility=2.51323866844177|Volume=2810044|LastStopAdjustment=6/28/2021 12:00:00 AM|Comment=Manual close.
Symbol=GSG|PurchaseDate=5/21/2021 12:00:00 AM|SellDate=7/19/2021 12:00:00 AM|Shares=104|PurchasePrice=15.13|CurrentPrice=15.25|Exposure=1573.52|MarketValue=1586|GainLoss=12.48|GainLossPcnt=0.0079312623925975|PositionRiskDecimal=0.12|R=1.8084|C=188.603|P=104.292744967927|InitialStopLimit=13.2616|TrailingStopLimit=15.2548571711779|TotalRiskExposure=188.0736|RMultiple=0.07R|Volatility=0.368697017431259|Volume=1545400|LastStopAdjustment=7/6/2021 12:00:00 AM|Comment=Manual close.
Symbol=NUAN|PurchaseDate=7/19/2021 12:00:00 AM|SellDate=3/4/2022 12:00:00 AM|Shares=15|PurchasePrice=54.95|CurrentPrice=56|Exposure=824.25|MarketValue=840|GainLoss=15.75|GainLossPcnt=0.0191082802547771|PositionRiskDecimal=0.12|R=6.5904|C=101.1985|P=15.3554412478757|InitialStopLimit=48.3296|TrailingStopLimit=54.4159286016226|TotalRiskExposure=98.856|RMultiple=0.16R|Volatility=0.569565415382385|Volume=22381809|LastStopAdjustment=7/26/2021 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=SCHN|PurchaseDate=7/19/2021 12:00:00 AM|SellDate=9/8/2021 12:00:00 AM|Shares=31|PurchasePrice=46.56|CurrentPrice=45.15|Exposure=1443.36|MarketValue=1399.65|GainLoss=-43.7100000000003|GainLossPcnt=-0.0302835051546394|PositionRiskDecimal=0.12|R=5.5296|C=172.6225|P=31.2179000289352|InitialStopLimit=40.5504|TrailingStopLimit=45.2032850837708|TotalRiskExposure=171.4176|RMultiple=-0.25R|Volatility=3.43626070022583|Volume=648498|LastStopAdjustment=7/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=SSD|PurchaseDate=5/20/2021 12:00:00 AM|SellDate=9/16/2021 12:00:00 AM|Shares=23|PurchasePrice=112.59|CurrentPrice=106.17|Exposure=2589.57|MarketValue=2441.91|GainLoss=-147.66|GainLossPcnt=-0.0570210498268053|PositionRiskDecimal=0.12|R=13.356|C=318.0815|P=23.815625935909|InitialStopLimit=97.944|TrailingStopLimit=106.312500581741|TotalRiskExposure=307.188|RMultiple=-0.48R|Volatility=3.232830286026|Volume=314376|LastStopAdjustment=8/12/2021 12:00:00 AM|Comment=Manual close.
Symbol=CX|PurchaseDate=8/4/2021 12:00:00 AM|SellDate=9/20/2021 12:00:00 AM|Shares=230|PurchasePrice=8.2|CurrentPrice=7.03|Exposure=1886|MarketValue=1616.9|GainLoss=-269.1|GainLossPcnt=-0.142682926829268|PositionRiskDecimal=0.12|R=0.9732|C=224.024946451217|P=230.194149662163|InitialStopLimit=7.1368|TrailingStopLimit=7.14|TotalRiskExposure=223.836|RMultiple=-1.20R|Volatility=0.289334863424301|Volume=12838906|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=INTU|PurchaseDate=6/22/2021 12:00:00 AM|SellDate=9/30/2021 12:00:00 AM|Shares=6|PurchasePrice=477.56|CurrentPrice=540.59|Exposure=2865.36|MarketValue=3243.54|GainLoss=378.18|GainLossPcnt=0.131983415696457|PositionRiskDecimal=0.12|R=57.3072|C=380.067|P=6.63209858447106|InitialStopLimit=420.2528|TrailingStopLimit=540.67564529419|TotalRiskExposure=343.8432|RMultiple=1.10R|Volatility=17.980411529541|Volume=1360530|LastStopAdjustment=8/27/2021 12:00:00 AM|Comment=Manual close.
Symbol=CROX|PurchaseDate=7/19/2021 12:00:00 AM|SellDate=10/1/2021 12:00:00 AM|Shares=21|PurchasePrice=113.54|CurrentPrice=140.1|Exposure=2384.34|MarketValue=2942.1|GainLoss=557.76|GainLossPcnt=0.233926369561388|PositionRiskDecimal=0.12|R=13.5072|C=290.8105|P=21.5300358327411|InitialStopLimit=99.0528|TrailingStopLimit=140.132429409027|TotalRiskExposure=283.6512|RMultiple=1.97R|Volatility=5.18915987014771|Volume=9354930|LastStopAdjustment=9/24/2021 12:00:00 AM|Comment=Manual close.
Symbol=BKE|PurchaseDate=10/1/2021 12:00:00 AM|SellDate=10/7/2021 12:00:00 AM|Shares=64|PurchasePrice=40.38|CurrentPrice=41.15|Exposure=2584.32|MarketValue=2633.6|GainLoss=49.2799999999997|GainLossPcnt=0.0190688459633481|PositionRiskDecimal=0.12|R=4.8612|C=315.734|P=64.9498066321073|InitialStopLimit=35.6488|TrailingStopLimit=35.6488|TotalRiskExposure=311.1168|RMultiple=0.16R|Volatility=3.19530439376831|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Closed due to DMA break
Symbol=UMC|PurchaseDate=7/15/2021 12:00:00 AM|SellDate=10/12/2021 12:00:00 AM|Shares=153|PurchasePrice=9.54|CurrentPrice=10.28|Exposure=1459.62|MarketValue=1572.84|GainLoss=113.22|GainLossPcnt=0.0775681341719078|PositionRiskDecimal=0.12|R=1.1364|C=174.1985|P=153.289774727209|InitialStopLimit=8.3336|TrailingStopLimit=10.2775715839863|TotalRiskExposure=173.8692|RMultiple=0.65R|Volatility=0.399427592754364|Volume=13702500|LastStopAdjustment=8/31/2021 12:00:00 AM|Comment=Manual close.
Symbol=VLRS|PurchaseDate=10/6/2021 12:00:00 AM|SellDate=10/19/2021 12:00:00 AM|Shares=167|PurchasePrice=22.04|CurrentPrice=19.22|Exposure=3680.68|MarketValue=3209.74|GainLoss=-470.94|GainLossPcnt=-0.127949183303085|PositionRiskDecimal=0.12|R=2.6256|C=440.83|P=167.896861669714|InitialStopLimit=19.2544|TrailingStopLimit=19.25|TotalRiskExposure=438.4752|RMultiple=-1.07R|Volatility=0.490004241466522|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=TGH|PurchaseDate=9/16/2021 12:00:00 AM|SellDate=11/19/2021 12:00:00 AM|Shares=60|PurchasePrice=33.38|CurrentPrice=36.02|Exposure=2002.8|MarketValue=2161.2|GainLoss=158.4|GainLossPcnt=0.0790892750149791|PositionRiskDecimal=0.12|R=3.9876|C=239.758946451217|P=60.1261276083903|InitialStopLimit=29.2424|TrailingStopLimit=36.0807861852646|TotalRiskExposure=239.256|RMultiple=0.66R|Volatility=2.18679404258728|Volume=1445370|LastStopAdjustment=10/28/2021 12:00:00 AM|Comment=Manual close.
Symbol=CDEV|PurchaseDate=9/8/2021 12:00:00 AM|SellDate=11/26/2021 12:00:00 AM|Shares=318|PurchasePrice=5.16|CurrentPrice=5.99|Exposure=1640.88|MarketValue=1904.82|GainLoss=263.94|GainLossPcnt=0.160852713178295|PositionRiskDecimal=0.12|R=0.6264|C=199.707446451217|P=318.817762533871|InitialStopLimit=4.5936|TrailingStopLimit=5.99171426773071|TotalRiskExposure=199.1952|RMultiple=1.33R|Volatility=0.301972985267639|Volume=10357911|LastStopAdjustment=11/15/2021 12:00:00 AM|Comment=Manual close.
Symbol=LKQ|PurchaseDate=10/12/2021 12:00:00 AM|SellDate=11/30/2021 12:00:00 AM|Shares=53|PurchasePrice=52.84|CurrentPrice=55.72|Exposure=2800.52|MarketValue=2953.16|GainLoss=152.64|GainLossPcnt=0.0545041635124905|PositionRiskDecimal=0.12|R=6.3348|C=337.806|P=53.3254404243228|InitialStopLimit=46.4552|TrailingStopLimit=55.7400713014603|TotalRiskExposure=335.7444|RMultiple=0.45R|Volatility=1.26025557518005|Volume=1616650|LastStopAdjustment=11/17/2021 12:00:00 AM|Comment=Manual close.
Symbol=SIG|PurchaseDate=9/20/2021 12:00:00 AM|SellDate=12/2/2021 12:00:00 AM|Shares=23|PurchasePrice=80.86|CurrentPrice=88.5|Exposure=1859.78|MarketValue=2035.5|GainLoss=175.72|GainLossPcnt=0.094484293841207|PositionRiskDecimal=0.12|R=9.5604|C=220.463946451217|P=23.0601174063028|InitialStopLimit=70.1096|TrailingStopLimit=90.9817138290405|TotalRiskExposure=219.8892|RMultiple=0.80R|Volatility=3.90558218955994|Volume=0|LastStopAdjustment=11/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=REMX|PurchaseDate=10/19/2021 12:00:00 AM|SellDate=12/6/2021 12:00:00 AM|Shares=25|PurchasePrice=116.29|CurrentPrice=111.2|Exposure=2907.25|MarketValue=2780|GainLoss=-127.25|GainLossPcnt=-0.0437698856307507|PositionRiskDecimal=0.12|R=13.8276|C=358.5175|P=25.9276736382308|InitialStopLimit=101.4024|TrailingStopLimit=111.35678483963|TotalRiskExposure=345.69|RMultiple=-0.37R|Volatility=1.94370174407959|Volume=283275|LastStopAdjustment=11/26/2021 12:00:00 AM|Comment=Manual close.
Symbol=BX|PurchaseDate=11/30/2021 12:00:00 AM|SellDate=12/14/2021 12:00:00 AM|Shares=20|PurchasePrice=144|CurrentPrice=124.4|Exposure=2880|MarketValue=2488|GainLoss=-392|GainLossPcnt=-0.136111111111111|PositionRiskDecimal=0.12|R=16.974|C=350.026|P=20.6213031695534|InitialStopLimit=124.476|TrailingStopLimit=124.476|TotalRiskExposure=339.48|RMultiple=-1.15R|Volatility=2.29128789901733|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=JCI|PurchaseDate=12/2/2021 12:00:00 AM|SellDate=12/20/2021 12:00:00 AM|Shares=33|PurchasePrice=77.1|CurrentPrice=74.63|Exposure=2544.3|MarketValue=2462.79|GainLoss=-81.5099999999998|GainLossPcnt=-0.0320363164721141|PositionRiskDecimal=0.12|R=9.1992|C=307.801|P=33.4595399599965|InitialStopLimit=67.4608|TrailingStopLimit=74.6515714168549|TotalRiskExposure=303.5736|RMultiple=-0.27R|Volatility=1.01006829738617|Volume=0|LastStopAdjustment=12/7/2021 12:00:00 AM|Comment=Manual close.
Symbol=AN|PurchaseDate=12/6/2021 12:00:00 AM|SellDate=12/21/2021 12:00:00 AM|Shares=21|PurchasePrice=126.92|CurrentPrice=109.56|Exposure=2665.32|MarketValue=2300.76|GainLoss=-364.56|GainLossPcnt=-0.136779073432083|PositionRiskDecimal=0.12|R=14.9484|C=319.586|P=21.3792780498247|InitialStopLimit=109.6216|TrailingStopLimit=109.62|TotalRiskExposure=313.9164|RMultiple=-1.16R|Volatility=2.02778315544128|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CRVL|PurchaseDate=12/14/2021 12:00:00 AM|SellDate=1/10/2022 12:00:00 AM|Shares=13|PurchasePrice=196.8|CurrentPrice=184.4|Exposure=2558.4|MarketValue=2397.2|GainLoss=-161.2|GainLossPcnt=-0.0630081300813007|PositionRiskDecimal=0.12|R=23.5452|C=310.72|P=13.1967449841157|InitialStopLimit=172.6648|TrailingStopLimit=187.913356513977|TotalRiskExposure=306.0876|RMultiple=-0.53R|Volatility=2.55160999298096|Volume=46577|LastStopAdjustment=12/27/2021 12:00:00 AM|Comment=Manual close.
Symbol=WOW|PurchaseDate=12/20/2021 12:00:00 AM|SellDate=1/19/2022 12:00:00 AM|Shares=123|PurchasePrice=20.84|CurrentPrice=18.98|Exposure=2563.32|MarketValue=2334.54|GainLoss=-228.78|GainLossPcnt=-0.0892514395393475|PositionRiskDecimal=0.12|R=2.4768|C=305.9395|P=123.52208494832|InitialStopLimit=18.1632|TrailingStopLimit=18.9872856926918|TotalRiskExposure=304.6464|RMultiple=-0.75R|Volatility=1.03859663009644|Volume=0|LastStopAdjustment=12/27/2021 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=CBRE|PurchaseDate=12/21/2021 12:00:00 AM|SellDate=1/19/2022 12:00:00 AM|Shares=23|PurchasePrice=103.06|CurrentPrice=98.9241426372528|Exposure=2370.38|MarketValue=2275.25528065681|GainLoss=-95.1247193431859|GainLossPcnt=-0.0401305779424337|PositionRiskDecimal=0.12|R=12.3924|C=292.8115|P=23.6283125141216|InitialStopLimit=90.8776|TrailingStopLimit=98.9241426372528|TotalRiskExposure=285.0252|RMultiple=-0.33R|Volatility=1.72585380077362|Volume=0|LastStopAdjustment=12/27/2021 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=KLIC|PurchaseDate=11/19/2021 12:00:00 AM|SellDate=1/21/2022 12:00:00 AM|Shares=65|PurchasePrice=57.99|CurrentPrice=52.01|Exposure=3769.35|MarketValue=3380.65|GainLoss=-388.7|GainLossPcnt=-0.103121227797896|PositionRiskDecimal=0.12|R=6.8484|C=445.9645|P=65.1195169674669|InitialStopLimit=50.2216|TrailingStopLimit=52.388785610199|TotalRiskExposure=445.146|RMultiple=-0.87R|Volatility=2.20517516136169|Volume=0|LastStopAdjustment=11/24/2021 12:00:00 AM|Comment=Manual close.
Symbol=HRI|PurchaseDate=1/19/2022 12:00:00 AM|SellDate=2/11/2022 12:00:00 AM|Shares=21|PurchasePrice=157.65|CurrentPrice=149.14|Exposure=3310.65|MarketValue=3131.94|GainLoss=-178.71|GainLossPcnt=-0.0539803361877578|PositionRiskDecimal=0.12|R=18.9744|C=404.599071042895|P=21.3234184502748|InitialStopLimit=139.1456|TrailingStopLimit=149.278714866638|TotalRiskExposure=398.4624|RMultiple=-0.45R|Volatility=8.24079608917236|Volume=0|LastStopAdjustment=2/9/2022 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=WLL|PurchaseDate=11/26/2021 12:00:00 AM|SellDate=2/18/2022 12:00:00 AM|Shares=44|PurchasePrice=68.35|CurrentPrice=65.14|Exposure=3007.4|MarketValue=2866.16|GainLoss=-141.24|GainLossPcnt=-0.0469641550841258|PositionRiskDecimal=0.12|R=7.8756|C=352.738|P=44.7887145106405|InitialStopLimit=57.7544|TrailingStopLimit=65.5060002803802|TotalRiskExposure=346.5264|RMultiple=-0.41R|Volatility=3.11170983314514|Volume=0|LastStopAdjustment=2/7/2022 12:00:00 AM|Comment=Manual close.
Symbol=SKY|PurchaseDate=2/7/2022 12:00:00 AM|SellDate=3/7/2022 12:00:00 AM|Shares=34|PurchasePrice=75.47|CurrentPrice=65.86|Exposure=2565.98|MarketValue=2239.24|GainLoss=-326.74|GainLossPcnt=-0.127335365045714|PositionRiskDecimal=0.12|R=8.9832|C=308.955264032841|P=34.3925621196056|InitialStopLimit=65.8768|TrailingStopLimit=65.8768|TotalRiskExposure=305.4288|RMultiple=-1.07R|Volatility=3.79947519302368|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=DAC|PurchaseDate=1/10/2022 12:00:00 AM|SellDate=3/4/2022 12:00:00 AM|Shares=34|PurchasePrice=70.64|CurrentPrice=87.3|Exposure=2401.76|MarketValue=2968.2|GainLoss=566.44|GainLossPcnt=0.235843714609286|PositionRiskDecimal=0.12|R=8.448|C=294.1525|P=34.8191879734848|InitialStopLimit=61.952|TrailingStopLimit=87.296|TotalRiskExposure=287.232|RMultiple=1.97R|Volatility=4.61944627761841|Volume=0|LastStopAdjustment=2/17/2022 12:00:00 AM|Comment=Manual close.
Symbol=M|PurchaseDate=1/19/2022 12:00:00 AM|SellDate=3/7/2022 12:00:00 AM|Shares=78|PurchasePrice=25.41|CurrentPrice=22.35|Exposure=1981.98|MarketValue=1743.3|GainLoss=-238.68|GainLossPcnt=-0.120425029515939|PositionRiskDecimal=0.12|R=3.0324|C=238.573071042895|P=78.6746705721195|InitialStopLimit=22.2376|TrailingStopLimit=22.3535720968246|TotalRiskExposure=236.5272|RMultiple=-1.01R|Volatility=1.05049240589142|Volume=0|LastStopAdjustment=2/10/2022 12:00:00 AM|Comment=Manual close.
Symbol=ODFL|PurchaseDate=3/30/2022 12:00:00 AM|SellDate=4/4/2022 12:00:00 AM|Shares=12|PurchasePrice=313.27|CurrentPrice=273.55|Exposure=3759.24|MarketValue=3282.6|GainLoss=-476.639999999999|GainLossPcnt=-0.126791585533246|PositionRiskDecimal=0.12|R=37.3584|C=485.43026403284|P=12.9938719011746|InitialStopLimit=273.9616|TrailingStopLimit=273.9616|TotalRiskExposure=448.3008|RMultiple=-1.06R|Volatility=10.4680919647217|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CLFD|PurchaseDate=3/30/2022 12:00:00 AM|SellDate=4/11/2022 12:00:00 AM|Shares=104|PurchasePrice=66.64|CurrentPrice=58.14|Exposure=6930.56|MarketValue=6046.56|GainLoss=-884|GainLossPcnt=-0.127551020408163|PositionRiskDecimal=0.12|R=7.9308|C=829.09826403284|P=104.54156756353|InitialStopLimit=58.1592|TrailingStopLimit=58.1592|TotalRiskExposure=824.8032|RMultiple=-1.07R|Volatility=4.14441680908203|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=TRNS|PurchaseDate=4/1/2022 12:00:00 AM|SellDate=4/25/2022 12:00:00 AM|Shares=13|PurchasePrice=84.52|CurrentPrice=73.07|Exposure=1098.76|MarketValue=949.91|GainLoss=-148.85|GainLossPcnt=-0.135470894462849|PositionRiskDecimal=0.12|R=10.0128|C=172.35226403284|P=17.2131935155841|InitialStopLimit=73.4272|TrailingStopLimit=73.4272|TotalRiskExposure=130.1664|RMultiple=-1.14R|Volatility=9.39243602752686|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=NSA|PurchaseDate=4/1/2022 12:00:00 AM|SellDate=4/25/2022 12:00:00 AM|Shares=13|PurchasePrice=64.38|CurrentPrice=62.17|Exposure=836.94|MarketValue=808.21|GainLoss=-28.7299999999999|GainLossPcnt=-0.0343274308791549|PositionRiskDecimal=0.12|R=7.7256|C=101.42826403284|P=13.12885265|InitialStopLimit=56.6544|TrailingStopLimit=62.1623575687408|TotalRiskExposure=100.4328|RMultiple=-0.29R|Volatility=1.62888729572296|Volume=0|LastStopAdjustment=4/20/2022 12:00:00 AM|Comment=Manual close.
Symbol=EXR|PurchaseDate=4/4/2022 12:00:00 AM|SellDate=4/29/2022 12:00:00 AM|Shares=9|PurchasePrice=205.91|CurrentPrice=195.45|Exposure=1853.19|MarketValue=1759.05|GainLoss=-94.1400000000001|GainLossPcnt=-0.0507988927201205|PositionRiskDecimal=0.12|R=24.7428|C=239.6975|P=9.68756567567131|InitialStopLimit=181.4472|TrailingStopLimit=195.508856391907|TotalRiskExposure=222.6852|RMultiple=-0.42R|Volatility=4.79185819625854|Volume=0|LastStopAdjustment=4/11/2022 12:00:00 AM|Comment=Manual close.
Symbol=IMKTA|PurchaseDate=3/30/2022 12:00:00 AM|SellDate=5/18/2022 12:00:00 AM|Shares=27|PurchasePrice=90.56|CurrentPrice=84.73|Exposure=2445.12|MarketValue=2287.71|GainLoss=-157.41|GainLossPcnt=-0.0643772084805653|PositionRiskDecimal=0.12|R=10.8972|C=298.63826403284|P=27.4050457028264|InitialStopLimit=79.9128|TrailingStopLimit=85.0236434745789|TotalRiskExposure=294.2244|RMultiple=-0.53R|Volatility=2.07228016853333|Volume=0|LastStopAdjustment=4/8/2022 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=CORN|PurchaseDate=9/30/2021 12:00:00 AM|SellDate=6/1/2022 12:00:00 AM|Shares=119|PurchasePrice=20.34|CurrentPrice=27.47|Exposure=2420.46|MarketValue=3268.93|GainLoss=848.47|GainLossPcnt=0.350540806293019|PositionRiskDecimal=0.12|R=2.4204|C=289.652|P=119.671128739051|InitialStopLimit=17.7496|TrailingStopLimit=27.47|TotalRiskExposure=288.0276|RMultiple=2.95R|Volatility=1.01165091991425|Volume=712748|LastStopAdjustment=4/27/2022 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=PBF|PurchaseDate=1/27/2023 12:00:00 AM|SellDate=2/6/2023 12:00:00 AM|Shares=87|PurchasePrice=42.71|CurrentPrice=37.98|Exposure=3715.77|MarketValue=3304.26|GainLoss=-411.51|GainLossPcnt=-0.110746897682042|PositionRiskDecimal=0.12|R=5.1804|C=453.6905|P=87.5782758088178|InitialStopLimit=37.9896|TrailingStopLimit=37.99|TotalRiskExposure=450.6948|RMultiple=-0.91R|Volatility=2.52846884727478|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=ROCC|PurchaseDate=1/27/2023 12:00:00 AM|SellDate=2/21/2023 12:00:00 AM|Shares=29|PurchasePrice=43.31|CurrentPrice=38.26|Exposure=1255.99|MarketValue=1109.54|GainLoss=-146.45|GainLossPcnt=-0.116601246825214|PositionRiskDecimal=0.12|R=5.2716|C=156.0715|P=29.6060968206996|InitialStopLimit=38.6584|TrailingStopLimit=38.6584|TotalRiskExposure=152.8764|RMultiple=-0.96R|Volatility=2.04572010040283|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=SQM|PurchaseDate=2/6/2023 12:00:00 AM|SellDate=2/21/2023 12:00:00 AM|Shares=16|PurchasePrice=96.15|CurrentPrice=83.62|Exposure=1538.4|MarketValue=1337.92|GainLoss=-200.48|GainLossPcnt=-0.130317212688508|PositionRiskDecimal=0.12|R=11.4072|C=184.7485|P=16.1957798583351|InitialStopLimit=83.6528|TrailingStopLimit=83.65|TotalRiskExposure=182.5152|RMultiple=-1.10R|Volatility=3.92397999763489|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=UFPT|PurchaseDate=2/21/2023 12:00:00 AM|SellDate=3/6/2023 12:00:00 AM|Shares=16|PurchasePrice=117.17|CurrentPrice=105.02|Exposure=1874.72|MarketValue=1680.32|GainLoss=-194.4|GainLossPcnt=-0.103695485192455|PositionRiskDecimal=0.12|R=14.0652|C=230.2015|P=16.3667420299747|InitialStopLimit=103.1448|TrailingStopLimit=104.926641426086|TotalRiskExposure=225.0432|RMultiple=-0.86R|Volatility=9.47459030151367|Volume=0|LastStopAdjustment=3/3/2023 12:00:00 AM|Comment=Manual close.
Symbol=UNM|PurchaseDate=1/31/2023 12:00:00 AM|SellDate=3/10/2023 12:00:00 AM|Shares=6|PurchasePrice=43.26|CurrentPrice=40.89|Exposure=259.56|MarketValue=245.34|GainLoss=-14.22|GainLossPcnt=-0.0547850208044383|PositionRiskDecimal=0.12|R=5.0436|C=33.1025|P=6.56326830042033|InitialStopLimit=36.9864|TrailingStopLimit=40.9247139382362|TotalRiskExposure=30.2616|RMultiple=-0.47R|Volatility=1.03322768211365|Volume=0|LastStopAdjustment=2/24/2023 12:00:00 AM|Comment=Manual close.
Symbol=XOM|PurchaseDate=1/27/2023 12:00:00 AM|SellDate=3/13/2023 12:00:00 AM|Shares=19|PurchasePrice=115.15|CurrentPrice=104.54|Exposure=2187.85|MarketValue=1986.26|GainLoss=-201.59|GainLossPcnt=-0.0921406860616586|PositionRiskDecimal=0.12|R=13.8732|C=265.901|P=19.1665225038203|InitialStopLimit=101.7368|TrailingStopLimit=105.318714294434|TotalRiskExposure=263.5908|RMultiple=-0.76R|Volatility=2.72619557380676|Volume=0|LastStopAdjustment=2/10/2023 12:00:00 AM|Comment=Manual close.
Symbol=EURN|PurchaseDate=2/24/2023 12:00:00 AM|SellDate=3/15/2023 12:00:00 AM|Shares=61|PurchasePrice=18.28|CurrentPrice=16.53|Exposure=1115.08|MarketValue=1008.33|GainLoss=-106.75|GainLossPcnt=-0.0957330415754924|PositionRiskDecimal=0.12|R=2.2056|C=136.4655|P=61.8722796517954|InitialStopLimit=16.1744|TrailingStopLimit=16.5369285178185|TotalRiskExposure=134.5416|RMultiple=-0.79R|Volatility=0.731772541999817|Volume=0|LastStopAdjustment=3/2/2023 12:00:00 AM|Comment=Manual close.
Symbol=ASC|PurchaseDate=1/31/2023 12:00:00 AM|SellDate=3/16/2023 12:00:00 AM|Shares=31|PurchasePrice=15.03|CurrentPrice=15.11|Exposure=465.93|MarketValue=468.41|GainLoss=2.47999999999996|GainLossPcnt=0.00532268795741841|PositionRiskDecimal=0.12|R=1.758|C=55.81|P=31.7463026166098|InitialStopLimit=12.892|TrailingStopLimit=15.1350001597404|TotalRiskExposure=54.498|RMultiple=0.05R|Volatility=0.307035565376282|Volume=0|LastStopAdjustment=3/9/2023 12:00:00 AM|Comment=Manual close.
Symbol=LW|PurchaseDate=4/4/2023 12:00:00 AM|SellDate=4/5/2023 12:00:00 AM|Shares=16|PurchasePrice=103.89|CurrentPrice=103.86|Exposure=1662.24|MarketValue=1661.76|GainLoss=-0.480000000000018|GainLossPcnt=-0.000288766965059208|PositionRiskDecimal=0.12|R=12.4296|C=207.6065|P=16.7025889811418|InitialStopLimit=91.1504|TrailingStopLimit=91.15|TotalRiskExposure=198.8736|RMultiple=0.00R|Volatility=4.94108152389526|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=PARR|PurchaseDate=4/4/2023 12:00:00 AM|SellDate=4/17/2023 12:00:00 AM|Shares=38|PurchasePrice=27.04|CurrentPrice=24.0711427259445|Exposure=1027.52|MarketValue=914.703423585891|GainLoss=-112.816576414109|GainLossPcnt=-0.109795017531638|PositionRiskDecimal=0.12|R=3.246|C=124.7425|P=38.4296056685151|InitialStopLimit=23.804|TrailingStopLimit=24.0711427259445|TotalRiskExposure=123.348|RMultiple=-0.91R|Volatility=0.420503169298172|Volume=0|LastStopAdjustment=4/10/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=COTY|PurchaseDate=4/6/2023 12:00:00 AM|SellDate=5/3/2023 12:00:00 AM|Shares=31|PurchasePrice=11.63|CurrentPrice=10.87|Exposure=360.53|MarketValue=336.97|GainLoss=-23.5600000000001|GainLossPcnt=-0.0653482373172831|PositionRiskDecimal=0.12|R=1.3968|C=43.58|P=31.1998854524628|InitialStopLimit=10.2432|TrailingStopLimit=10.8940714585781|TotalRiskExposure=43.3008|RMultiple=-0.54R|Volatility=0.500409066677094|Volume=0|LastStopAdjustment=4/11/2023 12:00:00 AM|Comment=Manual close.
Symbol=MPC|PurchaseDate=1/30/2023 12:00:00 AM|SellDate=5/4/2023 12:00:00 AM|Shares=6|PurchasePrice=133|CurrentPrice=109.54|Exposure=798|MarketValue=657.24|GainLoss=-140.76|GainLossPcnt=-0.176390977443609|PositionRiskDecimal=0.12|R=15.4968|C=95.71|P=6.17611377832843|InitialStopLimit=113.6432|TrailingStopLimit=113.6432|TotalRiskExposure=92.9808|RMultiple=-1.51R|Volatility=2.67639589309692|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CROX|PurchaseDate=4/3/2023 12:00:00 AM|SellDate=5/4/2023 12:00:00 AM|Shares=22|PurchasePrice=129.58|CurrentPrice=114.5|Exposure=2850.76|MarketValue=2519|GainLoss=-331.76|GainLossPcnt=-0.11637598394814|PositionRiskDecimal=0.12|R=15.4404|C=350.1445|P=22.6771650993498|InitialStopLimit=113.2296|TrailingStopLimit=114.548931369781|TotalRiskExposure=339.6888|RMultiple=-0.98R|Volatility=6.45257425308228|Volume=0|LastStopAdjustment=4/14/2023 12:00:00 AM|Comment=Manual close.
Symbol=WYNN|PurchaseDate=4/4/2023 12:00:00 AM|SellDate=5/16/2023 12:00:00 AM|Shares=5|PurchasePrice=114.41|CurrentPrice=104.78|Exposure=572.05|MarketValue=523.9|GainLoss=-48.15|GainLossPcnt=-0.0841709640765667|PositionRiskDecimal=0.12|R=13.452|C=73.3475|P=5.45253493904252|InitialStopLimit=98.648|TrailingStopLimit=104.792499341965|TotalRiskExposure=67.26|RMultiple=-0.72R|Volatility=3.07350420951843|Volume=0|LastStopAdjustment=5/1/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=BURBY|PurchaseDate=5/3/2023 12:00:00 AM|SellDate=5/19/2023 12:00:00 AM|Shares=13|PurchasePrice=32.33|CurrentPrice=28.7|Exposure=420.29|MarketValue=373.1|GainLoss=-47.19|GainLossPcnt=-0.112279616455305|PositionRiskDecimal=0.12|R=3.9132|C=54.0151711792945|P=13.8033249461552|InitialStopLimit=28.6968|TrailingStopLimit=28.6968|TotalRiskExposure=50.8716|RMultiple=-0.93R|Volatility=0.60146152973175|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=LW|PurchaseDate=4/6/2023 12:00:00 AM|SellDate=7/25/2023 12:00:00 AM|Shares=16|PurchasePrice=105.03|CurrentPrice=108.048928318024|Exposure=1680.48|MarketValue=1728.78285308838|GainLoss=48.3028530883839|GainLossPcnt=0.0287434858423688|PositionRiskDecimal=0.12|R=12.4296|C=207.6065|P=16.7025889811418|InitialStopLimit=92.43|TrailingStopLimit=108.048928318024|TotalRiskExposure=198.8736|RMultiple=0.24R|Volatility=4.94108152389526|Volume=0|LastStopAdjustment=6/13/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=WING|PurchaseDate=4/24/2023 12:00:00 AM|SellDate=7/27/2023 12:00:00 AM|Shares=3|PurchasePrice=195.62|CurrentPrice=180.61|Exposure=586.86|MarketValue=541.83|GainLoss=-45.03|GainLossPcnt=-0.0767303956650649|PositionRiskDecimal=0.12|R=23.6184|C=71.2886711792945|P=3.01835311364421|InitialStopLimit=173.2016|TrailingStopLimit=180.619356575012|TotalRiskExposure=70.8552|RMultiple=-0.64R|Volatility=5.85336685180664|Volume=0|LastStopAdjustment=5/1/2023 12:00:00 AM|Comment=Manual close.
Symbol=EGO|PurchaseDate=7/26/2023 12:00:00 AM|SellDate=7/28/2023 12:00:00 AM|Shares=39|PurchasePrice=10.74|CurrentPrice=9.45|Exposure=418.86|MarketValue=368.55|GainLoss=-50.3100000000001|GainLossPcnt=-0.120111731843576|PositionRiskDecimal=0.12|R=1.3008|C=50.913142654419|P=39.1398698142827|InitialStopLimit=9.45|TrailingStopLimit=9.45|TotalRiskExposure=50.7312|RMultiple=-0.99R|Volatility=0.585619449615479|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=PLPC|PurchaseDate=8/1/2023 12:00:00 AM|SellDate=8/3/2023 12:00:00 AM|Shares=3|PurchasePrice=178.36|CurrentPrice=157.73|Exposure=535.08|MarketValue=473.19|GainLoss=-61.8900000000001|GainLossPcnt=-0.115664947297601|PositionRiskDecimal=0.12|R=21.5988|C=75.489142654419|P=3.49506188558712|InitialStopLimit=156.96|TrailingStopLimit=156.96|TotalRiskExposure=64.7964|RMultiple=-0.96R|Volatility=8.37193489074707|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=ENIC|PurchaseDate=7/25/2023 12:00:00 AM|SellDate=8/3/2023 12:00:00 AM|Shares=191|PurchasePrice=3.72|CurrentPrice=3.28|Exposure=710.52|MarketValue=626.48|GainLoss=-84.04|GainLossPcnt=-0.118279569892473|PositionRiskDecimal=0.12|R=0.4524|C=86.4391426544192|P=191.067954585365|InitialStopLimit=3.27|TrailingStopLimit=3.27|TotalRiskExposure=86.4084|RMultiple=-0.97R|Volatility=0.126805230975151|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=STNE|PurchaseDate=8/1/2023 12:00:00 AM|SellDate=8/17/2023 12:00:00 AM|Shares=27|PurchasePrice=14.25|CurrentPrice=12.52|Exposure=384.75|MarketValue=338.04|GainLoss=-46.71|GainLossPcnt=-0.12140350877193|PositionRiskDecimal=0.12|R=1.758|C=48.490642654419|P=27.5828456509778|InitialStopLimit=12.54|TrailingStopLimit=12.54|TotalRiskExposure=47.466|RMultiple=-0.98R|Volatility=0.778608620166779|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=GMS|PurchaseDate=8/7/2023 12:00:00 AM|SellDate=9/6/2023 12:00:00 AM|Shares=5|PurchasePrice=75.23|CurrentPrice=66.29|Exposure=376.15|MarketValue=331.45|GainLoss=-44.7|GainLossPcnt=-0.118835570915858|PositionRiskDecimal=0.12|R=9.132|C=48.540142654419|P=5.3153901286048|InitialStopLimit=66.2|TrailingStopLimit=66.2|TotalRiskExposure=45.66|RMultiple=-0.98R|Volatility=1.20490074157715|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=STRL|PurchaseDate=5/3/2023 12:00:00 AM|SellDate=9/13/2023 12:00:00 AM|Shares=18|PurchasePrice=41.87|CurrentPrice=74.81|Exposure=753.66|MarketValue=1346.58|GainLoss=592.92|GainLossPcnt=0.786720802483879|PositionRiskDecimal=0.12|R=5.04|C=91.8151711792945|P=18.2172958689076|InitialStopLimit=36.96|TrailingStopLimit=74.9182571983337|TotalRiskExposure=90.72|RMultiple=6.54R|Volatility=1.62504577636719|Volume=0|LastStopAdjustment=9/8/2023 12:00:00 AM|Comment=Manual close.
Symbol=NVDA|PurchaseDate=8/29/2023 12:00:00 AM|SellDate=9/18/2023 12:00:00 AM|Shares=3|PurchasePrice=490.44|CurrentPrice=426|Exposure=1471.32|MarketValue=1278|GainLoss=-193.32|GainLossPcnt=-0.13139221923171|PositionRiskDecimal=0.12|R=58.5408|C=196.634642654419|P=3.35893330214857|InitialStopLimit=431.59|TrailingStopLimit=431.59|TotalRiskExposure=175.6224|RMultiple=-1.10R|Volatility=12.867826461792|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=CX|PurchaseDate=9/6/2023 12:00:00 AM|SellDate=9/26/2023 12:00:00 AM|Shares=102|PurchasePrice=7.52|CurrentPrice=6.59|Exposure=767.04|MarketValue=672.18|GainLoss=-94.86|GainLossPcnt=-0.123670212765957|PositionRiskDecimal=0.12|R=0.9108|C=93.241142654419|P=102.372796063262|InitialStopLimit=6.62|TrailingStopLimit=6.62|TotalRiskExposure=92.9016|RMultiple=-1.02R|Volatility=0.157804757356644|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=IESC|PurchaseDate=8/4/2023 12:00:00 AM|SellDate=10/13/2023 12:00:00 AM|Shares=9|PurchasePrice=66.8|CurrentPrice=63.69|Exposure=601.2|MarketValue=573.21|GainLoss=-27.9899999999999|GainLossPcnt=-0.0465568862275447|PositionRiskDecimal=0.12|R=7.9944|C=78.600142654419|P=9.83190016191572|InitialStopLimit=58.78|TrailingStopLimit=64.0674291992188|TotalRiskExposure=71.9496|RMultiple=-0.39R|Volatility=2.61172938346863|Volume=0|LastStopAdjustment=9/11/2023 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=ETN|PurchaseDate=9/13/2023 12:00:00 AM|SellDate=10/20/2023 12:00:00 AM|Shares=4|PurchasePrice=222.45|CurrentPrice=192.24|Exposure=889.8|MarketValue=768.96|GainLoss=-120.84|GainLossPcnt=-0.135805799055968|PositionRiskDecimal=0.12|R=26.5692|C=122.218142654419|P=4.59999332514411|InitialStopLimit=195.76|TrailingStopLimit=195.76|TotalRiskExposure=106.2768|RMultiple=-1.14R|Volatility=6.80371046066284|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=PANW|PurchaseDate=10/10/2023 12:00:00 AM|SellDate=10/20/2023 12:00:00 AM|Shares=3|PurchasePrice=257|CurrentPrice=240.68|Exposure=771|MarketValue=722.04|GainLoss=-48.96|GainLossPcnt=-0.0635019455252919|PositionRiskDecimal=0.12|R=30.8136|C=119.605142654419|P=3.88156991245486|InitialStopLimit=226.16|TrailingStopLimit=240.90978685379|TotalRiskExposure=92.4408|RMultiple=-0.53R|Volatility=9.1443452835083|Volume=0|LastStopAdjustment=10/16/2023 12:00:00 AM|Comment=Manual close.
Symbol=ANET|PurchaseDate=9/18/2023 12:00:00 AM|SellDate=10/26/2023 12:00:00 AM|Shares=6|PurchasePrice=185.44|CurrentPrice=175.21|Exposure=1112.64|MarketValue=1051.26|GainLoss=-61.3799999999999|GainLossPcnt=-0.0551660914581535|PositionRiskDecimal=0.12|R=22.3224|C=141.628142654419|P=6.34466467111149|InitialStopLimit=163.19|TrailingStopLimit=175.243285236359|TotalRiskExposure=133.9344|RMultiple=-0.46R|Volatility=6.79390478134155|Volume=0|LastStopAdjustment=10/9/2023 12:00:00 AM|Comment=Manual close.
Symbol=ANIP|PurchaseDate=8/3/2023 12:00:00 AM|SellDate=11/8/2023 12:00:00 AM|Shares=21|PurchasePrice=53.22|CurrentPrice=55.15|Exposure=1117.62|MarketValue=1158.15|GainLoss=40.53|GainLossPcnt=0.0362645621946636|PositionRiskDecimal=0.12|R=6.2616|C=134.481142654419|P=21.4771212875973|InitialStopLimit=46.83|TrailingStopLimit=55.7924993753433|TotalRiskExposure=131.4936|RMultiple=0.31R|Volatility=1.76768279075623|Volume=0|LastStopAdjustment=11/1/2023 12:00:00 AM|Comment=Manual close.
Symbol=CELH|PurchaseDate=11/8/2023 12:00:00 AM|SellDate=11/14/2023 12:00:00 AM|Shares=3|PurchasePrice=181|CurrentPrice=159|Exposure=543|MarketValue=477|GainLoss=-66|GainLossPcnt=-0.121546961325967|PositionRiskDecimal=0.12|R=21.5124|C=85.854|P=3.99090756958777|InitialStopLimit=159.28|TrailingStopLimit=159.28|TotalRiskExposure=64.5372|RMultiple=-1.02R|Volatility=14.583625793457|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=JBL|PurchaseDate=8/30/2023 12:00:00 AM|SellDate=11/29/2023 12:00:00 AM|Shares=8|PurchasePrice=116|CurrentPrice=118.3|Exposure=928|MarketValue=946.4|GainLoss=18.4|GainLossPcnt=0.0198275862068965|PositionRiskDecimal=0.12|R=13.8924|C=123.068642654419|P=8.85870279105259|InitialStopLimit=102.08|TrailingStopLimit=120.634142303467|TotalRiskExposure=111.1392|RMultiple=0.17R|Volatility=4.05541944503784|Volume=0|LastStopAdjustment=11/15/2023 12:00:00 AM|Comment=Manual close.
Symbol=ATI|PurchaseDate=11/8/2023 12:00:00 AM|SellDate=12/5/2023 12:00:00 AM|Shares=28|PurchasePrice=43.67|CurrentPrice=40.64|Exposure=1222.76|MarketValue=1137.92|GainLoss=-84.8399999999999|GainLossPcnt=-0.069384016487291|PositionRiskDecimal=0.12|R=5.202|C=146.544|P=28.1707035755479|InitialStopLimit=38.43|TrailingStopLimit=40.6647859764099|TotalRiskExposure=145.656|RMultiple=-0.58R|Volatility=1.46033883094788|Volume=0|LastStopAdjustment=11/14/2023 12:00:00 AM|Comment=Manual close.
Symbol=MANH|PurchaseDate=12/5/2023 12:00:00 AM|SellDate=1/4/2024 12:00:00 AM|Shares=4|PurchasePrice=228.25|CurrentPrice=200.85|Exposure=913|MarketValue=803.4|GainLoss=-109.6|GainLossPcnt=-0.120043811610077|PositionRiskDecimal=0.12|R=27.2616|C=113.0075|P=4.14529961557649|InitialStopLimit=200.86|TrailingStopLimit=200.86|TotalRiskExposure=109.0464|RMultiple=-1.01R|Volatility=4.94011783599854|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=UFPT|PurchaseDate=11/29/2023 12:00:00 AM|SellDate=1/23/2024 12:00:00 AM|Shares=3|PurchasePrice=171.87|CurrentPrice=152.2|Exposure=515.61|MarketValue=456.6|GainLoss=-59.01|GainLossPcnt=-0.114446965729912|PositionRiskDecimal=0.12|R=20.6244|C=81.892|P=3.97063672155311|InitialStopLimit=151.2456|TrailingStopLimit=152.889928913116|TotalRiskExposure=61.8732|RMultiple=-0.95R|Volatility=9.61385440826416|Volume=0|LastStopAdjustment=12/13/2023 12:00:00 AM|Comment=Manual close.
Symbol=AMPH|PurchaseDate=11/9/2023 12:00:00 AM|SellDate=2/21/2024 12:00:00 AM|Shares=9|PurchasePrice=52|CurrentPrice=52.16|Exposure=468|MarketValue=469.44|GainLoss=1.43999999999994|GainLossPcnt=0.00307692307692295|PositionRiskDecimal=0.12|R=6.2892|C=57.64|P=9.16491763658335|InitialStopLimit=45.76|TrailingStopLimit=51.1286425495148|TotalRiskExposure=56.6028|RMultiple=0.03R|Volatility=3.85634922981262|Volume=0|LastStopAdjustment=12/14/2023 12:00:00 AM|Comment=Closed due to DMA break
Symbol=PLAB|PurchaseDate=11/14/2023 12:00:00 AM|SellDate=2/21/2024 12:00:00 AM|Shares=22|PurchasePrice=21.38|CurrentPrice=27.89|Exposure=470.36|MarketValue=613.58|GainLoss=143.22|GainLossPcnt=0.304490177736202|PositionRiskDecimal=0.12|R=2.5548|C=58.09|P=22.7375919837169|InitialStopLimit=18.81|TrailingStopLimit=29.0321999263763|TotalRiskExposure=56.2056|RMultiple=2.55R|Volatility=0.868534803390503|Volume=0|LastStopAdjustment=2/8/2024 12:00:00 AM|Comment=Manual close.
Symbol=NEU|PurchaseDate=2/20/2024 12:00:00 AM|SellDate=4/18/2024 12:00:00 AM|Shares=1|PurchasePrice=609.01|CurrentPrice=583.22|Exposure=609.01|MarketValue=583.22|GainLoss=-25.79|GainLossPcnt=-0.0423474162985829|PositionRiskDecimal=0.12|R=73.0956|C=73.588|P=1.00673638358533|InitialStopLimit=535.93|TrailingStopLimit=590.138356208801|TotalRiskExposure=73.0956|RMultiple=-0.35R|Volatility=10.5676956176758|Volume=0|LastStopAdjustment=4/2/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=AVGO|PurchaseDate=10/13/2023 12:00:00 AM|SellDate=4/18/2024 12:00:00 AM|Shares=1|PurchasePrice=890.97|CurrentPrice=1269.38|Exposure=890.97|MarketValue=1269.38|GainLoss=378.41|GainLossPcnt=0.424716881600952|PositionRiskDecimal=0.12|R=105.9816|C=109.885485794067|P=1.0368355053525|InitialStopLimit=784.05|TrailingStopLimit=1269.95986206055|TotalRiskExposure=105.9816|RMultiple=3.57R|Volatility=19.4005393981934|Volume=0|LastStopAdjustment=4/3/2024 12:00:00 AM|Comment=Manual close.
Symbol=CLS|PurchaseDate=1/4/2024 12:00:00 AM|SellDate=4/19/2024 12:00:00 AM|Shares=32|PurchasePrice=27.92|CurrentPrice=42.75|Exposure=893.44|MarketValue=1368|GainLoss=474.56|GainLossPcnt=0.531160458452722|PositionRiskDecimal=0.12|R=3.3504|C=107.5275|P=32.0939290830946|InitialStopLimit=24.5696|TrailingStopLimit=42.71468542099|TotalRiskExposure=107.2128|RMultiple=4.43R|Volatility=0.907680511474609|Volume=0|LastStopAdjustment=4/10/2024 12:00:00 AM|Comment=Manual close.
Symbol=QLYS|PurchaseDate=4/24/2024 12:00:00 AM|SellDate=5/8/2024 12:00:00 AM|Shares=4|PurchasePrice=169.22|CurrentPrice=151.37|Exposure=676.88|MarketValue=605.48|GainLoss=-71.4|GainLossPcnt=-0.105483985344522|PositionRiskDecimal=0.12|R=20.6532|C=102.358|P=4.95603586853369|InitialStopLimit=151.46|TrailingStopLimit=151.46|TotalRiskExposure=82.6128|RMultiple=-0.86R|Volatility=4.65934801101685|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=APG|PurchaseDate=11/8/2023 12:00:00 AM|SellDate=5/17/2024 12:00:00 AM|Shares=77|PurchasePrice=27.08|CurrentPrice=36.07|Exposure=2085.16|MarketValue=2777.39|GainLoss=692.23|GainLossPcnt=0.331979320531758|PositionRiskDecimal=0.12|R=3.2304|C=250.186|P=77.4473749380882|InitialStopLimit=23.83|TrailingStopLimit=36.095428853035|TotalRiskExposure=248.7408|RMultiple=2.78R|Volatility=1.05591440200806|Volume=0|LastStopAdjustment=4/1/2024 12:00:00 AM|Comment=Manual close.
Symbol=FTAI|PurchaseDate=1/23/2024 12:00:00 AM|SellDate=6/4/2024 12:00:00 AM|Shares=14|PurchasePrice=51|CurrentPrice=78.42|Exposure=714|MarketValue=1097.88|GainLoss=383.88|GainLossPcnt=0.53764705882353|PositionRiskDecimal=0.12|R=6.036|C=85.6855|P=14.1957422133863|InitialStopLimit=44.88|TrailingStopLimit=78.4481719017029|TotalRiskExposure=84.504|RMultiple=4.54R|Volatility=1.01389157772064|Volume=0|LastStopAdjustment=5/31/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=HNI|PurchaseDate=5/17/2024 12:00:00 AM|SellDate=6/10/2024 12:00:00 AM|Shares=49|PurchasePrice=45.86|CurrentPrice=43.59|Exposure=2247.14|MarketValue=2135.91|GainLoss=-111.23|GainLossPcnt=-0.0494984736153509|PositionRiskDecimal=0.12|R=5.5176|C=272.5435|P=49.3952986805858|InitialStopLimit=40.36|TrailingStopLimit=43.6133572387695|TotalRiskExposure=270.3624|RMultiple=-0.41R|Volatility=1.81974124908447|Volume=0|LastStopAdjustment=6/3/2024 12:00:00 AM|Comment=Manual close.
Symbol=SNPS|PurchaseDate=6/4/2024 12:00:00 AM|SellDate=7/18/2024 12:00:00 AM|Shares=3|PurchasePrice=565.31|CurrentPrice=560.69|Exposure=1695.93|MarketValue=1682.07|GainLoss=-13.8599999999997|GainLossPcnt=-0.00817250711998707|PositionRiskDecimal=0.12|R=67.4076|C=215.100220331192|P=3.19103810744177|InitialStopLimit=497.47|TrailingStopLimit=560.918435211182|TotalRiskExposure=202.2228|RMultiple=-0.07R|Volatility=11.9729852676392|Volume=0|LastStopAdjustment=7/10/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=LLY|PurchaseDate=6/10/2024 12:00:00 AM|SellDate=7/25/2024 12:00:00 AM|Shares=2|PurchasePrice=880|CurrentPrice=828.88|Exposure=1760|MarketValue=1657.76|GainLoss=-102.24|GainLossPcnt=-0.0580909090909091|PositionRiskDecimal=0.12|R=103.8|C=237.0795|P=2.28400289017341|InitialStopLimit=774.4|TrailingStopLimit=829.77307510376|TotalRiskExposure=207.6|RMultiple=-0.49R|Volatility=34.7464294433594|Volume=0|LastStopAdjustment=6/18/2024 12:00:00 AM|Comment=Manual close.
Symbol=PANW|PurchaseDate=4/24/2024 12:00:00 AM|SellDate=8/2/2024 12:00:00 AM|Shares=4|PurchasePrice=286|CurrentPrice=306.17|Exposure=1144|MarketValue=1224.68|GainLoss=80.6800000000001|GainLossPcnt=0.0705244755244756|PositionRiskDecimal=0.12|R=35.2584|C=161.122|P=4.56974791822658|InitialStopLimit=258.56|TrailingStopLimit=309.682215805054|TotalRiskExposure=141.0336|RMultiple=0.57R|Volatility=15.2390480041504|Volume=0|LastStopAdjustment=6/28/2024 12:00:00 AM|Comment=Manual close.
Symbol=TILE|PurchaseDate=5/8/2024 12:00:00 AM|SellDate=8/5/2024 12:00:00 AM|Shares=52|PurchasePrice=16.03|CurrentPrice=16.45|Exposure=833.56|MarketValue=855.4|GainLoss=21.8399999999999|GainLossPcnt=0.0262008733624453|PositionRiskDecimal=0.12|R=1.914|C=100.352|P=52.4305120167189|InitialStopLimit=14.11|TrailingStopLimit=14.8027858674526|TotalRiskExposure=99.528|RMultiple=0.22R|Volatility=0.379707545042038|Volume=0|LastStopAdjustment=7/16/2024 12:00:00 AM|Comment=Manual close.
Symbol=KTOS|PurchaseDate=2/23/2024 12:00:00 AM|SellDate=8/8/2024 12:00:00 AM|Shares=30|PurchasePrice=17.94|CurrentPrice=18.57|Exposure=538.2|MarketValue=557.1|GainLoss=18.9|GainLossPcnt=0.0351170568561872|PositionRiskDecimal=0.12|R=2.4216|C=73.686|P=30.4286422200198|InitialStopLimit=15.79|TrailingStopLimit=18.6699286651611|TotalRiskExposure=72.648|RMultiple=0.26R|Volatility=0.288610696792603|Volume=0|LastStopAdjustment=7/10/2024 12:00:00 AM|Comment=Manual close.
Symbol=CSWI|PurchaseDate=4/18/2024 12:00:00 AM|SellDate=9/5/2024 12:00:00 AM|Shares=4|PurchasePrice=233.42|CurrentPrice=287.01|Exposure=933.68|MarketValue=1148.04|GainLoss=214.36|GainLossPcnt=0.229586153714335|PositionRiskDecimal=0.12|R=28.0776|C=139.406|P=4.96502550075505|InitialStopLimit=205.41|TrailingStopLimit=287.677069473267|TotalRiskExposure=112.3104|RMultiple=1.91R|Volatility=10.8258943557739|Volume=0|LastStopAdjustment=8/23/2024 12:00:00 AM|Comment=Manual close.
Symbol=XPO|PurchaseDate=7/18/2024 12:00:00 AM|SellDate=9/5/2024 12:00:00 AM|Shares=17|PurchasePrice=111.54|CurrentPrice=100.91|Exposure=1896.18|MarketValue=1715.47|GainLoss=-180.71|GainLossPcnt=-0.0953021337636722|PositionRiskDecimal=0.12|R=13.3176|C=233.217265281677|P=17.5119590077549|InitialStopLimit=97.66|TrailingStopLimit=100.915784378052|TotalRiskExposure=226.3992|RMultiple=-0.80R|Volatility=13.2911081314087|Volume=0|LastStopAdjustment=7/31/2024 12:00:00 AM|Comment=Manual close.
Symbol=PPC|PurchaseDate=9/4/2024 12:00:00 AM|SellDate=10/3/2024 12:00:00 AM|Shares=37|PurchasePrice=45.44|CurrentPrice=43.8|Exposure=1681.28|MarketValue=1620.6|GainLoss=-60.6800000000001|GainLossPcnt=-0.0360915492957747|PositionRiskDecimal=0.12|R=5.544|C=207.801|P=37.4821428571429|InitialStopLimit=39.99|TrailingStopLimit=43.7971428728104|TotalRiskExposure=205.128|RMultiple=-0.30R|Volatility=0.899818062782288|Volume=0|LastStopAdjustment=10/2/2024 12:00:00 AM|Comment=Manual close.
Symbol=LPX|PurchaseDate=8/8/2024 12:00:00 AM|SellDate=10/23/2024 12:00:00 AM|Shares=9|PurchasePrice=96.04|CurrentPrice=98.75|Exposure=864.36|MarketValue=888.75|GainLoss=24.39|GainLossPcnt=0.0282174094127447|PositionRiskDecimal=0.12|R=11.496|C=107.8435|P=9.38095859429367|InitialStopLimit=84.52|TrailingStopLimit=98.7737852478027|TotalRiskExposure=103.464|RMultiple=0.24R|Volatility=8.17436504364014|Volume=0|LastStopAdjustment=9/30/2024 12:00:00 AM|Comment=Manual close.
Symbol=CTLT|PurchaseDate=8/5/2024 12:00:00 AM|SellDate=10/25/2024 12:00:00 AM|Shares=19|PurchasePrice=59.15|CurrentPrice=59.12|Exposure=1123.85|MarketValue=1123.28|GainLoss=-0.569999999999936|GainLossPcnt=-0.000507185122569681|PositionRiskDecimal=0.12|R=7.098|C=136.701|P=19.2590870667794|InitialStopLimit=52.052|TrailingStopLimit=59.1266425776482|TotalRiskExposure=134.862|RMultiple=0.00R|Volatility=0.741820454597473|Volume=0|LastStopAdjustment=10/11/2024 12:00:00 AM|Comment=Manual close.
Symbol=RYCEY|PurchaseDate=10/23/2024 12:00:00 AM|SellDate=11/14/2024 12:00:00 AM|Shares=186|PurchasePrice=7.33|CurrentPrice=6.95278570532799|Exposure=1363.38|MarketValue=1293.21814119101|GainLoss=-70.1618588089939|GainLossPcnt=-0.0514617045937258|PositionRiskDecimal=0.12|R=0.8856|C=165.148|P=186.481481481481|InitialStopLimit=6.45|TrailingStopLimit=6.95278570532799|TotalRiskExposure=164.7216|RMultiple=-0.43R|Volatility=0.230236276984215|Volume=0|LastStopAdjustment=10/28/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=LDOS|PurchaseDate=9/4/2024 12:00:00 AM|SellDate=11/15/2024 12:00:00 AM|Shares=6|PurchasePrice=155.52|CurrentPrice=161.00221446991|Exposure=933.12|MarketValue=966.01328681946|GainLoss=32.8932868194599|GainLossPcnt=0.035250864647055|PositionRiskDecimal=0.12|R=18.7308|C=122.331|P=6.53100775193799|InitialStopLimit=136.86|TrailingStopLimit=161.00221446991|TotalRiskExposure=112.3848|RMultiple=0.29R|Volatility=5.35368156433105|Volume=0|LastStopAdjustment=10/25/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=SFM|PurchaseDate=7/25/2024 12:00:00 AM|SellDate=12/9/2024 12:00:00 AM|Shares=22|PurchasePrice=84.63|CurrentPrice=149.2|Exposure=1861.86|MarketValue=3282.4|GainLoss=1420.54|GainLossPcnt=0.762968214581118|PositionRiskDecimal=0.12|R=9.9852|C=221.262|P=22.1589953130633|InitialStopLimit=74.47|TrailingStopLimit=149.36765712738|TotalRiskExposure=219.6744|RMultiple=6.47R|Volatility=4.38531112670898|Volume=0|LastStopAdjustment=11/29/2024 12:00:00 AM|Comment=Manual close.
Symbol=AWI|PurchaseDate=10/25/2024 12:00:00 AM|SellDate=12/17/2024 12:00:00 AM|Shares=9|PurchasePrice=137.15|CurrentPrice=149.86|Exposure=1234.35|MarketValue=1348.74|GainLoss=114.39|GainLossPcnt=0.0926722566532994|PositionRiskDecimal=0.12|R=16.3428|C=153.143|P=9.3706708764716|InitialStopLimit=120.69|TrailingStopLimit=150.520071086884|TotalRiskExposure=147.0852|RMultiple=0.78R|Volatility=3.24569320678711|Volume=0|LastStopAdjustment=11/29/2024 12:00:00 AM|Comment=Closed due to trailing stop.
Symbol=CLS|PurchaseDate=10/3/2024 12:00:00 AM|SellDate=1/27/2025 12:00:00 AM|Shares=33|PurchasePrice=52.97|CurrentPrice=92.41|Exposure=1748.01|MarketValue=3049.53|GainLoss=1301.52|GainLossPcnt=0.744572399471399|PositionRiskDecimal=0.12|R=6.1764|C=208.111|P=33.6945469852989|InitialStopLimit=46.61|TrailingStopLimit=92.478657875061|TotalRiskExposure=203.8212|RMultiple=6.39R|Volatility=3.07577896118164|Volume=0|LastStopAdjustment=1/8/2025 12:00:00 AM|Comment=Manual close.
Symbol=DVA|PurchaseDate=2/6/2025 12:00:00 AM|SellDate=2/14/2025 12:00:00 AM|Shares=10|PurchasePrice=171.14|CurrentPrice=153|Exposure=1711.4|MarketValue=1530|GainLoss=-181.4|GainLossPcnt=-0.105995091737758|PositionRiskDecimal=0.12|R=20.6484|C=220.708071400525|P=10.6888703919202|InitialStopLimit=150.6|TrailingStopLimit=160.963856563568|TotalRiskExposure=206.484|RMultiple=-0.88R|Volatility=3.60059523582458|Volume=0|LastStopAdjustment=2/11/2025 12:00:00 AM|Comment=Manual close.
Symbol=GDDY|PurchaseDate=8/5/2024 12:00:00 AM|SellDate=2/14/2025 12:00:00 AM|Shares=13|PurchasePrice=147.68|CurrentPrice=191.15|Exposure=1919.84|MarketValue=2484.95|GainLoss=565.11|GainLossPcnt=0.294352654387866|PositionRiskDecimal=0.12|R=17.6256|C=232.173|P=13.172487745098|InitialStopLimit=129.96|TrailingStopLimit=191.86757270813|TotalRiskExposure=229.1328|RMultiple=2.47R|Volatility=2.29647755622864|Volume=0|LastStopAdjustment=1/24/2025 12:00:00 AM|Comment=Manual close.
Symbol=SKYW|PurchaseDate=2/6/2025 12:00:00 AM|SellDate=2/19/2025 12:00:00 AM|Shares=45|PurchasePrice=116.31|CurrentPrice=102.07|Exposure=5233.95|MarketValue=4593.15|GainLoss=-640.8|GainLossPcnt=-0.122431433238759|PositionRiskDecimal=0.12|R=13.9404|C=638.420571400525|P=45.7964313362977|InitialStopLimit=102.35|TrailingStopLimit=102.35|TotalRiskExposure=627.318|RMultiple=-1.02R|Volatility=2.51104688644409|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=OSPN|PurchaseDate=2/14/2025 12:00:00 AM|SellDate=2/20/2025 12:00:00 AM|Shares=102|PurchasePrice=20.26|CurrentPrice=17.82|Exposure=2066.52|MarketValue=1817.64|GainLoss=-248.88|GainLossPcnt=-0.120434353405726|PositionRiskDecimal=0.12|R=2.424|C=248.870071400525|P=102.669171369854|InitialStopLimit=17.83|TrailingStopLimit=17.83|TotalRiskExposure=247.248|RMultiple=-1.01R|Volatility=0.499441653490067|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=NWPX|PurchaseDate=2/6/2025 12:00:00 AM|SellDate=2/27/2025 12:00:00 AM|Shares=60|PurchasePrice=52.72|CurrentPrice=46.09|Exposure=3163.2|MarketValue=2765.4|GainLoss=-397.8|GainLossPcnt=-0.125758725341426|PositionRiskDecimal=0.12|R=6.2532|C=377.038071400525|P=60.2952202713051|InitialStopLimit=46.39|TrailingStopLimit=46.39|TotalRiskExposure=375.192|RMultiple=-1.06R|Volatility=3.85384011268616|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=AZZ|PurchaseDate=2/7/2025 12:00:00 AM|SellDate=3/4/2025 12:00:00 AM|Shares=7|PurchasePrice=96.13|CurrentPrice=87.42|Exposure=672.91|MarketValue=611.94|GainLoss=-60.9699999999999|GainLossPcnt=-0.0906064704046602|PositionRiskDecimal=0.12|R=11.466|C=81.895571400525|P=7.14247090533098|InitialStopLimit=84.59|TrailingStopLimit=87.9439997005463|TotalRiskExposure=80.262|RMultiple=-0.76R|Volatility=4.41244173049927|Volume=0|LastStopAdjustment=2/13/2025 12:00:00 AM|Comment=Manual close.
Symbol=AWI|PurchaseDate=2/14/2025 12:00:00 AM|SellDate=4/3/2025 12:00:00 AM|Shares=7|PurchasePrice=153.74|CurrentPrice=133.24|Exposure=1076.18|MarketValue=932.68|GainLoss=-143.5|GainLossPcnt=-0.133342005984129|PositionRiskDecimal=0.12|R=18.4644|C=145.850071400525|P=7.89898785774382|InitialStopLimit=135.29|TrailingStopLimit=135.29|TotalRiskExposure=129.2508|RMultiple=-1.11R|Volatility=6.83095169067383|Volume=0|LastStopAdjustment=1/1/0001 12:00:00 AM|Comment=Manual close.
Symbol=IDCC|PurchaseDate=2/7/2025 12:00:00 AM|SellDate=4/4/2025 12:00:00 AM|Shares=5|PurchasePrice=204.9|CurrentPrice=189.59|Exposure=1024.5|MarketValue=947.95|GainLoss=-76.55|GainLossPcnt=-0.0747193753050268|PositionRiskDecimal=0.12|R=24.5268|C=132.993071400525|P=5.42235723374125|InitialStopLimit=180.31|TrailingStopLimit=195.563070678711|TotalRiskExposure=122.634|RMultiple=-0.62R|Volatility=3.26635074615479|Volume=0|LastStopAdjustment=3/17/2025 12:00:00 AM|Comment=Manual close.
Symbol=EXEL|PurchaseDate=3/4/2025 12:00:00 AM|SellDate=4/4/2025 12:00:00 AM|Shares=84|PurchasePrice=38.14|CurrentPrice=34.65|Exposure=3203.76|MarketValue=2910.6|GainLoss=-293.16|GainLossPcnt=-0.0915049816465654|PositionRiskDecimal=0.12|R=4.5948|C=389.4065|P=84.7493906154784|InitialStopLimit=33.56|TrailingStopLimit=34.6096426153183|TotalRiskExposure=385.9632|RMultiple=-0.76R|Volatility=0.690388977527618|Volume=0|LastStopAdjustment=3/10/2025 12:00:00 AM|Comment=Manual close.
TotalCandidates=42
Symbol=PBI|AnalysisDate=2/18/2025 12:00:00 AM|EPSSlope=0.529999971389771|ProfitMarginSlope=8.23810863494873|PriceSlope=0.00328707853229042|Volatility=0.761549234390259|Volume=0|Violation=False|Slope=0.00328707853229042|Score=1.99265117484619|AnnualizedReturn=2.28952366673464|SharpeRatio=0.235874736612309|RSquared=0.870334386055131|BetaMonths=6|Beta=1.93760551933142
Symbol=SPOT|AnalysisDate=2/19/2025 12:00:00 AM|EPSSlope=1.14999985694885|ProfitMarginSlope=4.86549997329712|PriceSlope=0.00311891130814697|Volatility=40.1615791320801|Volume=0|Violation=False|Slope=0.00311891130814697|Score=1.98684751540544|AnnualizedReturn=2.19452506025095|SharpeRatio=0.413240671697551|RSquared=0.905365607981818|BetaMonths=6|Beta=3.11968488809277
Symbol=HWM|AnalysisDate=2/18/2025 12:00:00 AM|EPSSlope=0.100000023841858|ProfitMarginSlope=0.146227836608887|PriceSlope=0.00289697492464429|Volatility=2.93906354904175|Volume=0|Violation=False|Slope=0.00289697492464429|Score=1.95446634946965|AnnualizedReturn=2.07515880028122|SharpeRatio=0.257254647152215|RSquared=0.941839414508801|BetaMonths=6|Beta=1.80514220525624
Symbol=FICO|AnalysisDate=11/22/2024 12:00:00 AM|EPSSlope=0.715000152587891|ProfitMarginSlope=0.152099609375|PriceSlope=0.00278106211095575|Volatility=125.698356628418|Volume=0|Violation=False|Slope=0.00278106211095575|Score=1.77070394798347|AnnualizedReturn=2.01542008375591|SharpeRatio=0.293673257334195|RSquared=0.878578100047317|BetaMonths=6|Beta=2.52833211627505
Symbol=CLS|AnalysisDate=11/15/2024 12:00:00 AM|EPSSlope=0.0500000715255737|ProfitMarginSlope=0.0128278732299805|PriceSlope=0.00336143510777781|Volatility=6.67109966278076|Volume=0|Violation=False|Slope=0.00336143510777781|Score=1.76334602800446|AnnualizedReturn=2.33282889033886|SharpeRatio=0.347770886168991|RSquared=0.75588314055401|BetaMonths=6|Beta=3.18798481345953
Symbol=FIX|AnalysisDate=11/26/2024 12:00:00 AM|EPSSlope=0.579999923706055|ProfitMarginSlope=0.857433319091797|PriceSlope=0.00296384183534283|Volatility=22.0480003356934|Volume=0|Violation=False|Slope=0.00296384183534283|Score=1.72448863958231|AnnualizedReturn=2.11042245377406|SharpeRatio=0.192105819793835|RSquared=0.81712959246544|BetaMonths=6|Beta=0.911465816124593
Symbol=UI|AnalysisDate=11/15/2024 12:00:00 AM|EPSSlope=0.329999923706055|ProfitMarginSlope=3.38571166992188|PriceSlope=0.00336717288296883|Volatility=38.5753440856934|Volume=0|Violation=False|Slope=0.00336717288296883|Score=1.68834011355329|AnnualizedReturn=2.33620441254558|SharpeRatio=0.238413709791038|RSquared=0.722685097454141|BetaMonths=6|Beta=2.58126296044301
Symbol=VRT|AnalysisDate=11/19/2024 12:00:00 AM|EPSSlope=0.105000019073486|ProfitMarginSlope=0.961915969848633|PriceSlope=0.00335543591777693|Volatility=9.09689903259277|Volume=0|Violation=False|Slope=0.00335543591777693|Score=1.68055329309973|AnnualizedReturn=2.32930479376165|SharpeRatio=0.342727850670762|RSquared=0.721482777865991|BetaMonths=6|Beta=0.560791072082004
Symbol=GWRE|AnalysisDate=1/23/2025 12:00:00 AM|EPSSlope=0.215000003576279|ProfitMarginSlope=0.576732635498047|PriceSlope=0.00259144431071057|Volatility=9.23863506317139|Volume=0|Violation=False|Slope=0.00259144431071057|Score=1.64525275178649|AnnualizedReturn=1.92138055419607|SharpeRatio=0.0124191989206939|RSquared=0.856286771609847|BetaMonths=6|Beta=1.97814067528778
Symbol=VNET|AnalysisDate=12/30/2024 12:00:00 AM|EPSSlope=0.100000023841858|ProfitMarginSlope=0.773027420043945|PriceSlope=0.00369362186949024|Volatility=0.374787569046021|Volume=0|Violation=False|Slope=0.00369362186949024|Score=1.63782582155531|AnnualizedReturn=2.53651910774696|SharpeRatio=0.083648374094191|RSquared=0.645698199770352|BetaMonths=6|Beta=5.74217581715003
@@ -149,17 +147,14 @@ Symbol=GILD|AnalysisDate=2/28/2025 12:00:00 AM|EPSSlope=0.140000000596046|Profit
Symbol=FFIV|AnalysisDate=2/18/2025 12:00:00 AM|EPSSlope=0.25|ProfitMarginSlope=0.641941070556641|PriceSlope=0.00207132422591469|Volatility=10.3247270584106|Volume=0|Violation=False|Slope=0.00207132422591469|Score=1.27098761207093|AnnualizedReturn=1.68535075429952|SharpeRatio=-0.018005180488292|RSquared=0.754138335197285|BetaMonths=6|Beta=0.648138503836924
Symbol=TTMI|AnalysisDate=12/10/2024 12:00:00 AM|EPSSlope=0.25|ProfitMarginSlope=1.4373025894165|PriceSlope=0.0019275596811205|Volatility=0.557417511940002|Volume=0|Violation=False|Slope=0.0019275596811205|Score=1.17792619274745|AnnualizedReturn=1.62538553450078|SharpeRatio=0.0255618578745609|RSquared=0.724705719193712|BetaMonths=6|Beta=2.06315737425908
Symbol=CHEF|AnalysisDate=1/15/2025 12:00:00 AM|EPSSlope=0.0850000083446503|ProfitMarginSlope=0.0896120071411133|PriceSlope=0.00137447817873313|Volatility=1.20156145095825|Volume=0|Violation=False|Slope=0.00137447817873313|Score=1.05650086626369|AnnualizedReturn=1.41392355212947|SharpeRatio=0.0425417968628165|RSquared=0.747212156323814|BetaMonths=6|Beta=1.36159582436275
Symbol=CENX|AnalysisDate=11/15/2024 12:00:00 AM|EPSSlope=0.454999923706055|ProfitMarginSlope=5.90132522583008|PriceSlope=0.00264474454259261|Volatility=2.09064483642578|Volume=0|Violation=False|Slope=0.00264474454259261|Score=1.05219292306413|AnnualizedReturn=1.94736197771889|SharpeRatio=0.27354601454297|RSquared=0.540317072584856|BetaMonths=6|Beta=1.43042687629944
Symbol=DASH|AnalysisDate=2/19/2025 12:00:00 AM|EPSSlope=0.360000014305115|ProfitMarginSlope=1.07436752319336|PriceSlope=0.00199671707748532|Volatility=9.18694686889648|Volume=0|Violation=False|Slope=0.00199671707748532|Score=0.982941652764388|AnnualizedReturn=1.65396048132577|SharpeRatio=0.102027056926275|RSquared=0.594295730679425|BetaMonths=6|Beta=2.14568923530456
Symbol=YMM|AnalysisDate=2/10/2025 12:00:00 AM|EPSSlope=0.0349999964237213|ProfitMarginSlope=0.229143142700195|PriceSlope=0.0018029882430729|Volatility=0.436734020709991|Volume=0|Violation=False|Slope=0.0018029882430729|Score=0.958505124860841|AnnualizedReturn=1.57515398736561|SharpeRatio=0.075391013791245|RSquared=0.608515188069902|BetaMonths=6|Beta=2.01977136967525
Symbol=FLEX|AnalysisDate=11/22/2024 12:00:00 AM|EPSSlope=0.00999999046325684|ProfitMarginSlope=4.37839651107788|PriceSlope=0.00138026654939466|Volatility=1.70791220664978|Volume=0|Violation=False|Slope=0.00138026654939466|Score=0.943320326401415|AnnualizedReturn=1.41598750410425|SharpeRatio=-0.100475860902919|RSquared=0.666192550193553|BetaMonths=6|Beta=2.27651080171185
Symbol=GDYN|AnalysisDate=1/2/2025 12:00:00 AM|EPSSlope=0.0249999985098839|ProfitMarginSlope=1.38591957092285|PriceSlope=0.00182115536676012|Volatility=1.21755516529083|Volume=0|Violation=False|Slope=0.00182115536676012|Score=0.634186508550066|AnnualizedReturn=1.58238175588329|SharpeRatio=0.0582727535453944|RSquared=0.400779714624593|BetaMonths=6|Beta=0.688236357556022
Symbol=FINMY|AnalysisDate=2/18/2025 12:00:00 AM|EPSSlope=0.00499999523162842|ProfitMarginSlope=2.26086616516113|PriceSlope=0.000927945831124419|Volatility=0.804262280464172|Volume=0|Violation=False|Slope=0.000927945831124419|Score=0.603127428955689|AnnualizedReturn=1.26344529365249|SharpeRatio=0.116679338102526|RSquared=0.477367268678576|BetaMonths=6|Beta=1.26022875036336
Symbol=SRAD|AnalysisDate=11/15/2024 12:00:00 AM|EPSSlope=0.0599999949336052|ProfitMarginSlope=1.79681015014648|PriceSlope=0.000923668674413228|Volatility=2.13853359222412|Volume=0|Violation=False|Slope=0.000923668674413228|Score=0.528899890813367|AnnualizedReturn=1.2620842310042|SharpeRatio=-0.0257688743365212|RSquared=0.419068615089609|BetaMonths=6|Beta=3.18938380544079
Symbol=GBX|AnalysisDate=11/21/2024 12:00:00 AM|EPSSlope=0.585000157356262|ProfitMarginSlope=1.99640655517578|PriceSlope=0.000934495742292796|Volatility=2.32186818122864|Volume=0|Violation=False|Slope=0.000934495742292796|Score=0.485138575943357|AnnualizedReturn=1.2655324301878|SharpeRatio=0.012735256999371|RSquared=0.383347407281665|BetaMonths=6|Beta=0.74156562710119
Symbol=ALK|AnalysisDate=12/10/2024 12:00:00 AM|EPSSlope=0.379999995231628|ProfitMarginSlope=4.34027671813965|PriceSlope=0.000947162345240178|Volatility=2.26391196250916|Volume=0|Violation=False|Slope=0.000947162345240178|Score=0.42999231746104|AnnualizedReturn=1.26957844335317|SharpeRatio=-0.159622284924786|RSquared=0.338689050457849|BetaMonths=6|Beta=0.929986047617511
Symbol=HRI|AnalysisDate=11/29/2024 12:00:00 AM|EPSSlope=0.159999847412109|ProfitMarginSlope=2.22430610656738|PriceSlope=0.00098068277828669|Volatility=6.63576173782349|Volume=0|Violation=False|Slope=0.00098068277828669|Score=0.298631704974025|AnnualizedReturn=1.28034818455965|SharpeRatio=0.149172026007608|RSquared=0.233242573055809|BetaMonths=6|Beta=0.79056985240125
Symbol=KRNT|AnalysisDate=11/15/2024 12:00:00 AM|EPSSlope=0.0699999928474426|ProfitMarginSlope=9.61516380310059|PriceSlope=0.0011667007433025|Volatility=3.88353514671326|Volume=0|Violation=False|Slope=0.0011667007433025|Score=0.271526768097983|AnnualizedReturn=1.3417954260338|SharpeRatio=0.0277867477171733|RSquared=0.202360779318339|BetaMonths=6|Beta=1.79251269507165
Symbol=ADTN|AnalysisDate=12/2/2024 12:00:00 AM|EPSSlope=0.264999866485596|ProfitMarginSlope=2.74630546569824|PriceSlope=-2.40720379203673E-05|Volatility=0.349551945924759|Volume=0|Violation=False|Slope=-2.40720379203673E-05|Score=-0.000133702382178567|AnnualizedReturn=-0.993952208405961|SharpeRatio=0.052345511690254|RSquared=0.000134515906346232|BetaMonths=6|Beta=0.217463192390928
Symbol=RYCEY|AnalysisDate=3/19/2025 12:00:00 AM|EPSSlope=0.0249999910593033|ProfitMarginSlope=2.86403560638428|PriceSlope=0.00224820856063976|Volatility=0.490488022565842|Volume=0|Violation=False|Slope=0.00224820856063976|Score=1.50374509638808|AnnualizedReturn=1.76217449909003|SharpeRatio=0.230419861639581|RSquared=0.853346304332856|BetaMonths=6|Beta=0.334083432815
Symbol=NGD|AnalysisDate=3/31/2025 12:00:00 AM|EPSSlope=0.0499999970197678|ProfitMarginSlope=10.4842023849487|PriceSlope=0.00232738138187281|Volatility=0.19767764210701|Volume=0|Violation=False|Slope=0.00232738138187281|Score=1.38801517603269|AnnualizedReturn=1.7976856870603|SharpeRatio=0.176636628257535|RSquared=0.77211226969408|BetaMonths=6|Beta=1.38599232316458
@@ -171,9 +166,16 @@ Symbol=AU|AnalysisDate=4/21/2025 12:00:00 AM|EPSSlope=1.125|ProfitMarginSlope=8.
Symbol=JBSAY|AnalysisDate=4/22/2025 12:00:00 AM|EPSSlope=0.0249999761581421|ProfitMarginSlope=2.02699565887451|PriceSlope=0.000896235617414858|Volatility=0.573827743530273|Volume=0|Violation=False|Slope=0.000896235617414858|Score=0.458797172546303|AnnualizedReturn=1.25338936717726|SharpeRatio=0.0909382763189255|RSquared=0.366045208744313|BetaMonths=6|Beta=1.42346528947178
Symbol=YALA|AnalysisDate=4/22/2025 12:00:00 AM|EPSSlope=0.00499999523162842|ProfitMarginSlope=0.783245086669922|PriceSlope=9.30105169787555E-05|Volatility=0.694728314876556|Volume=0|Violation=False|Slope=9.30105169787555E-05|Score=0.00426895168729687|AnnualizedReturn=1.02371549415977|SharpeRatio=-0.214910460886992|RSquared=0.00417005673124122|BetaMonths=6|Beta=2.24939400582279
Symbol=SFM|AnalysisDate=4/23/2025 12:00:00 AM|EPSSlope=0.144999980926514|ProfitMarginSlope=0.0641002655029297|PriceSlope=0.00360615256358645|Volatility=6.23221302032471|Volume=0|Violation=False|Slope=0.00360615256358645|Score=2.22037511737051|AnnualizedReturn=2.48122017696957|SharpeRatio=0.344471769797401|RSquared=0.894872264049683|BetaMonths=6|Beta=3.3634006102018
Symbol=SGHC|AnalysisDate=5/2/2025 12:00:00 AM|EPSSlope=0.11500000208616257|ProfitMarginSlope=2.3587398529052734|PriceSlope=0.004273958624491131|Volatility=0.4251115918159485|Volume=0|Violation=False|Slope=0.004273958624491131|Score=2.385685347881738|AnnualizedReturn=2.9359690624137667|SharpeRatio=0.23821182920930722|RSquared=0.8125716917195237|BetaMonths=6|Beta=8.593488733129291
Symbol=ICL|AnalysisDate=5/6/2025 12:00:00 AM|EPSSlope=0.004999995231628418|ProfitMarginSlope=0.4982624053955078|PriceSlope=0.0016977241667609363|Volatility=0.18681670725345612|Volume=0|Violation=False|Slope=0.0016977241667609363|Score=0.8896918439280564|AnnualizedReturn=1.5339199074696328|SharpeRatio=-0.0765494161412745|RSquared=0.5800119286512812|BetaMonths=6|Beta=1.3255001656610628
Symbol=SE|AnalysisDate=5/14/2025 12:00:00 AM|EPSSlope=0.28999999165534973|ProfitMarginSlope=1.4859447479248047|PriceSlope=0.0032017599458718346|Volatility=9.898773193359375|Volume=0|Violation=False|Slope=0.0032017599458718346|Score=1.9707714560968894|AnnualizedReturn=2.2408236661009657|SharpeRatio=0.26480543450974786|RSquared=0.8794852919087707|BetaMonths=6|Beta=2.0508500728131076
Symbol=SGHC|AnalysisDate=5/2/2025 12:00:00 AM|EPSSlope=0.115000002086163|ProfitMarginSlope=2.35873985290527|PriceSlope=0.00427395862449113|Volatility=0.425111591815948|Volume=0|Violation=False|Slope=0.00427395862449113|Score=2.38568534788174|AnnualizedReturn=2.93596906241377|SharpeRatio=0.238211829209307|RSquared=0.812571691719524|BetaMonths=6|Beta=8.59348873312929
Symbol=ICL|AnalysisDate=5/6/2025 12:00:00 AM|EPSSlope=0.00499999523162842|ProfitMarginSlope=0.498262405395508|PriceSlope=0.00169772416676094|Volatility=0.186816707253456|Volume=0|Violation=False|Slope=0.00169772416676094|Score=0.889691843928056|AnnualizedReturn=1.53391990746963|SharpeRatio=-0.0765494161412745|RSquared=0.580011928651281|BetaMonths=6|Beta=1.32550016566106
Symbol=SE|AnalysisDate=5/14/2025 12:00:00 AM|EPSSlope=0.28999999165535|ProfitMarginSlope=1.4859447479248|PriceSlope=0.00320175994587183|Volatility=9.89877319335938|Volume=0|Violation=False|Slope=0.00320175994587183|Score=1.97077145609689|AnnualizedReturn=2.24082366610097|SharpeRatio=0.264805434509748|RSquared=0.879485291908771|BetaMonths=6|Beta=2.05085007281311
Symbol=PLTR|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.0200000032782555|ProfitMarginSlope=0.320865631103516|PriceSlope=0.0074299551536233|Volatility=6.51536655426025|Volume=0|Violation=False|Slope=0.0074299551536233|Score=6.11409388477527|AnnualizedReturn=6.50355336268116|SharpeRatio=0.660606053256107|RSquared=0.940115894160154|BetaMonths=6|Beta=4.90935542401113
Symbol=TPR|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.174999952316284|ProfitMarginSlope=0.405666351318359|PriceSlope=0.00325783230568174|Volatility=5.51863718032837|Volume=0|Violation=False|Slope=0.00325783230568174|Score=1.82698653899432|AnnualizedReturn=2.27271179314813|SharpeRatio=0.102547010759166|RSquared=0.803879552393049|BetaMonths=6|Beta=3.86683594969366
Symbol=NFLX|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.664999961853027|ProfitMarginSlope=1.0953197479248|PriceSlope=0.00240050950296441|Volatility=19.877721786499|Volume=0|Violation=False|Slope=0.00240050950296441|Score=1.6180709428454|AnnualizedReturn=1.83112108630266|SharpeRatio=0.245246589807048|RSquared=0.883650434124245|BetaMonths=6|Beta=2.36750966590708
Symbol=CRS|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.879999876022339|ProfitMarginSlope=1.52617645263672|PriceSlope=0.00271520236932137|Volatility=11.2141494750977|Volume=0|Violation=False|Slope=0.00271520236932137|Score=1.56979108276159|AnnualizedReturn=1.98224689559794|SharpeRatio=0.192097401612821|RSquared=0.791925105922826|BetaMonths=6|Beta=3.29177280336844
Symbol=DCTH|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.235000014305115|ProfitMarginSlope=2.74007415771484|PriceSlope=0.00289806804056986|Volatility=1.60950720310211|Volume=0|Violation=False|Slope=0.00289806804056986|Score=1.53595950559322|AnnualizedReturn=2.07573051308244|SharpeRatio=0.232098868621469|RSquared=0.739960941901043|BetaMonths=6|Beta=3.47543764744628
Symbol=HCI|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.775000095367432|ProfitMarginSlope=17.5993537902832|PriceSlope=0.0020990923213118|Volatility=8.70686626434326|Volume=0|Violation=False|Slope=0.0020990923213118|Score=1.46769266658398|AnnualizedReturn=1.69718545611832|SharpeRatio=-0.217865338320187|RSquared=0.864780369931272|BetaMonths=6|Beta=0.745294393652595
Symbol=LINC|AnalysisDate=5/15/2025 12:00:00 AM|EPSSlope=0.0349999964237213|ProfitMarginSlope=3.23651123046875|PriceSlope=0.00206919170623891|Volatility=1.68286395072937|Volume=0|Violation=False|Slope=0.00206919170623891|Score=1.31120872360738|AnnualizedReturn=1.68444529861664|SharpeRatio=0.0208921901765995|RSquared=0.778421670732921|BetaMonths=6|Beta=2.73454525066217
TotalStopLimits=194
Symbol=CDNS|AnalysisDate=9/2/2020 12:00:00 AM|PreviousStop=97.9088|NewStop=109.599856939316|CurrentPriceLow=113.59|CurrentPriceClose=117.09|PriceTrendIndicatorSlope=0.310654103755951|StopLimitId=
Symbol=LULU|AnalysisDate=9/2/2020 12:00:00 AM|PreviousStop=332.1824|NewStop=372.562428512573|CurrentPriceLow=387.08|CurrentPriceClose=398.29|PriceTrendIndicatorSlope=2.77707505226135|StopLimitId=

View File

@@ -1,24 +1,24 @@
MGSHSESSIONv2.00
LastUpdated=5/14/2025 7:54:47?PM
TradeDate=5/15/2025
LastUpdated=5/16/2025 12:15:05 AM
TradeDate=5/16/2025
StartDate=3/31/2025
AnalysisDate=5/14/2025
AnalysisDate=5/16/2025
Cycle=2
CashBalance=5361.54
NonTradeableCash=0
HedgeCashBalance=3000
Verbose=True|KeepSlotPositions=True|BenchmarkMode=False|BenchmarkModeSymbol=SPY|HoldingPeriod=3|MaxPositions=3|NoTradeSymbols=IBDRY,GBTC,YOKU,PNY,RFMD,ASAZY|NoTradeFinancialSymbols=U.S. Private Equity,U.S. Financials,U.S. Financial Services,U.S. Banking and Investment Services,Trading-Miscellaneous,Trading--Miscellaneous,Trading--Leveraged Equity,Trading--Leveraged Debt,Trading--Leveraged Commodities,Trading--Inverse Equity,Trading--Inverse Commodities,Tactical Allocation,Specialty Finance,Japan Financials,Savings & Cooperative Banks,Option Writing,Insurance Brokers,Insurance - Specialty,Insurance - Reinsurance,Insurance - Property & Casualty,Insurance - Life,Insurance - Diversified,Global Private Equity,Global Financials,Financial Services,Financial Exchanges,Financial,China Financials,Banks - Regional - US,Banks - Regional - Latin America,Banks - Global,Asset Management,Credit Services|Benchmark=SPY|MarketCapLowerLimit=1000000000|UsePEScreen=False|UseEBITDAScreen=True|UseRevenuePerShareScreen=True|UseLowSlopeBetaCheck=True|LowSlopeBetaDays=15|LowSlopeBetaThreshhold=1|UseMACD=True|MACDSetup=(12,26,9)|MACDSignalDays=12|MACDRejectStrongSellSignals=False|MACDRejectWeakSellSignals=True|UseStochastics=True|StochasticsSignalDays=3|StochasticsRejectStrongSells=True|StochasticsRejectWeakSells=True|UseFallbackCandidate=True|FallbackCandidate=SHV|FallbackCandidateBestOf=SHV,NEAR,BIL,GSY,AGG,ACWX,GSY,SCHF,IXUS,DBEF,IEFA,TLT|UseMaxPEScreen=True|MaxPE=40|StrictMaxPE=False|QualityIndicatorType=IDINDICATOR|IncludeTradeMasterForSymbolsHeld=True|UseStopLimits=True|StopLimitRiskPercentDecimal=0.2|StopLimitScalingVolatilityDays=30|MinDaysBetweenInitialStopAdjustment=30|MinDaysBetweenStopAdjustments=30|StopLimitPriceTrendDays=20|StopLimitATRMultiplier=3|UseHedging=True|HedgeBenchmarkSymbol=SPY|HedgeShortSymbol=SH|HedgeRiskPercentDecimal=0.12|HedgeMinDaysBetweenStopAdjustments=1|HedgeInitialCash=3000|HedgeCloseAboveSMANDays=10|HedgeBandBreakCheckDays=3|HedgeATRMultiplier=1|MaxPricingExceptions=3|UseBetaGenerator=True|UseBetaGeneratorMonths=24
TotalActivePositions=4
Slot=0|Symbol=SXT|PurchaseDate=3/31/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=14|PurchasePrice=73.98|CurrentPrice=91.83|Volume=362866|Return1D=0|CumReturn252=0|IDIndicator=-7.17131474103586|Score=0.447832358242973|Velocity=0.447678018575852|PE=24.93|Beta=0.640557790575348|InitialStopLimit=59.18|TrailingStopLimit=85.4177850723267|LastStopAdjustment=4/30/2025 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=14.886|Comment=Price changed on 4/1/2025 from $74.43 to $73.98
Slot=1|Symbol=RGLD|PurchaseDate=4/30/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=6|PurchasePrice=179.06|CurrentPrice=165.63|Volume=872755|Return1D=0|CumReturn252=0|IDIndicator=-12.3505976095618|Score=0.879340632979787|Velocity=0.8398891966759|PE=36.94|Beta=0.672718546494456|InitialStopLimit=143.25|TrailingStopLimit=143.25|LastStopAdjustment=1/1/0001 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=36.542|Comment=Price changed on 5/1/2025 from $182.71 to $179.06
Slot=1|Symbol=PSO|PurchaseDate=4/30/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=69|PurchasePrice=15.98|CurrentPrice=15.92|Volume=894303|Return1D=0|CumReturn252=0|IDIndicator=-11.9521912350598|Score=1.15269564166514|Velocity=0.737122557726465|PE=19.2|Beta=0.0342052512015139|InitialStopLimit=12.78|TrailingStopLimit=12.78|LastStopAdjustment=1/1/0001 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=3.25|Comment=Price changed on 5/1/2025 from $16.25 to $15.98
Slot=1|Symbol=TSCDY|PurchaseDate=4/30/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=75|PurchasePrice=15|CurrentPrice=14.8|Volume=78408|Return1D=0|CumReturn252=0|IDIndicator=-11.1553784860558|Score=1.03524480157762|Velocity=1|PE=12.79|Beta=0.388852470354317|InitialStopLimit=12|TrailingStopLimit=12|LastStopAdjustment=1/1/0001 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=2.996|Comment=Price changed on 5/1/2025 from $14.98 to $15.00
Slot=0|Symbol=SXT|PurchaseDate=3/31/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=14|PurchasePrice=73.98|CurrentPrice=94.54|Volume=362866|Return1D=0|CumReturn252=0|IDIndicator=-7.17131474103586|Score=0.447832358242973|Velocity=0.447678018575852|PE=24.93|Beta=0.640557790575348|InitialStopLimit=59.18|TrailingStopLimit=85.4177850723267|LastStopAdjustment=4/30/2025 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=14.886|Comment=Price changed on 4/1/2025 from $74.43 to $73.98
Slot=1|Symbol=RGLD|PurchaseDate=4/30/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=6|PurchasePrice=179.06|CurrentPrice=169.29|Volume=872755|Return1D=0|CumReturn252=0|IDIndicator=-12.3505976095618|Score=0.879340632979787|Velocity=0.8398891966759|PE=36.94|Beta=0.672718546494456|InitialStopLimit=143.25|TrailingStopLimit=143.25|LastStopAdjustment=1/1/0001 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=36.542|Comment=Price changed on 5/1/2025 from $182.71 to $179.06
Slot=1|Symbol=PSO|PurchaseDate=4/30/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=69|PurchasePrice=15.98|CurrentPrice=16.15|Volume=894303|Return1D=0|CumReturn252=0|IDIndicator=-11.9521912350598|Score=1.15269564166514|Velocity=0.737122557726465|PE=19.2|Beta=0.0342052512015139|InitialStopLimit=12.78|TrailingStopLimit=12.78|LastStopAdjustment=1/1/0001 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=3.25|Comment=Price changed on 5/1/2025 from $16.25 to $15.98
Slot=1|Symbol=TSCDY|PurchaseDate=4/30/2025 12:00:00 AM|SellDate=1/1/0001 12:00:00 AM|Shares=75|PurchasePrice=15|CurrentPrice=15.21|Volume=78408|Return1D=0|CumReturn252=0|IDIndicator=-11.1553784860558|Score=1.03524480157762|Velocity=1|PE=12.79|Beta=0.388852470354317|InitialStopLimit=12|TrailingStopLimit=12|LastStopAdjustment=1/1/0001 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=2.996|Comment=Price changed on 5/1/2025 from $14.98 to $15.00
TotalPositions=2
Symbol=MO|PurchaseDate=3/31/2025 12:00:00 AM|SellDate=5/14/2025 12:00:00 AM|Shares=18|PurchasePrice=59.91|CurrentPrice=56.16|Volume=17335180|Return1D=0|CumReturn252=0|IDIndicator=-15.9362549800797|Score=1.14749269300042|Velocity=0.967136150234742|PE=9|Beta=0.572465642401382|InitialStopLimit=47.93|TrailingStopLimit=56.15650033473968|LastStopAdjustment=5/7/2025 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=12.004|Comment=Closed due to trailing stop.
Symbol=EXC|PurchaseDate=3/31/2025 12:00:00 AM|SellDate=5/14/2025 12:00:00 AM|Shares=24|PurchasePrice=45.76|CurrentPrice=42.60|Volume=14993121|Return1D=0|CumReturn252=0|IDIndicator=-8.76494023904382|Score=0.405636492837393|Velocity=1|PE=18.02|Beta=0.248374476251328|InitialStopLimit=36.61|TrailingStopLimit=42.7107857322693|LastStopAdjustment=4/30/2025 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=9.216|Comment=Closed due to trailing stop.
Symbol=MO|PurchaseDate=3/31/2025 12:00:00 AM|SellDate=5/14/2025 12:00:00 AM|Shares=18|PurchasePrice=59.91|CurrentPrice=56.16|Volume=17335180|Return1D=0|CumReturn252=0|IDIndicator=-15.9362549800797|Score=1.14749269300042|Velocity=0.967136150234742|PE=9|Beta=0.572465642401382|InitialStopLimit=47.93|TrailingStopLimit=56.1565003347397|LastStopAdjustment=5/7/2025 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=12.004|Comment=Closed due to trailing stop.
Symbol=EXC|PurchaseDate=3/31/2025 12:00:00 AM|SellDate=5/14/2025 12:00:00 AM|Shares=24|PurchasePrice=45.76|CurrentPrice=42.6|Volume=14993121|Return1D=0|CumReturn252=0|IDIndicator=-8.76494023904382|Score=0.405636492837393|Velocity=1|PE=18.02|Beta=0.248374476251328|InitialStopLimit=36.61|TrailingStopLimit=42.7107857322693|LastStopAdjustment=4/30/2025 12:00:00 AM|PositionRiskPercentDecimal=0.2|R=9.216|Comment=Closed due to trailing stop.
TotalStopLimits=3
Symbol=EXC|AnalysisDate=4/30/2025 12:00:00 AM|PreviousStop=36.61|NewStop=42.7107857322693|CurrentPriceLow=42.60|CurrentPriceClose=46.9|PriceTrendIndicatorSlope=0.0870828032493591|StopLimitId=EXC20250331120000AM
Symbol=EXC|AnalysisDate=4/30/2025 12:00:00 AM|PreviousStop=36.61|NewStop=42.7107857322693|CurrentPriceLow=42.6|CurrentPriceClose=46.9|PriceTrendIndicatorSlope=0.0870828032493591|StopLimitId=EXC20250331120000AM
Symbol=SXT|AnalysisDate=4/30/2025 12:00:00 AM|PreviousStop=59.18|NewStop=85.4177850723267|CurrentPriceLow=92.4|CurrentPriceClose=93.95|PriceTrendIndicatorSlope=0.931879639625549|StopLimitId=SXT20250331120000AM
Symbol=MO|AnalysisDate=5/7/2025 12:00:00 AM|PreviousStop=47.93|NewStop=56.15650033473968|CurrentPriceLow=56.16|CurrentPriceClose=60.91|PriceTrendIndicatorSlope=0.21730078756809235|StopLimitId=MO20250331120000AM
Symbol=MO|AnalysisDate=5/7/2025 12:00:00 AM|PreviousStop=47.93|NewStop=56.1565003347397|CurrentPriceLow=56.16|CurrentPriceClose=60.91|PriceTrendIndicatorSlope=0.217300787568092|StopLimitId=MO20250331120000AM
TotalHedgePositions=0
TotalPricingExceptions=0