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You are here: Home / Archives for portfolio management

Top 5 Winners from S&P 500 Low-Volatility Growth Portfolio

March 3, 2014 by TradingMarkets Editors

The following trades are the 5 biggest winners in the S&P 500 Low-Volatility Growth Portfolio from February 1, 2014 to February 28, 2014. Symbol Entry Price Exit Date Current/Exit Price % Gain ORLY $130.98 02/07/2014 $147.88 12.90% TDC $41.12 02/24/2014 $45.72 11.19% BMY $48.36 02/12/2014 $52.84 9.26% COL $75.56 02/24/2014 $82.47 9.15% CERN $56.30 Open…    [Read More] 

Filed Under: Connors Research, ConnorsRSI Tagged With: Featured, growth, High Performance Portfolios, low volatility investing, portfolio management, S&P 500, Stocks

The Top 5 Trades from The S&P 500 Low-Volatility Growth Portfolio

July 2, 2013 by Joshua Glasgall

Joshua Glasgall

The following trades are the 5 biggest winners in the S&P 500 Low-Volatility Growth Portfolio gained throughout June 2013. Entry Date Symbol Entry Price Exit Date Current/Exit Price % Gain Strategy 6/03/2013 REGN $232.20 6/7/13 $255.59 10.07% Trading New Highs S&P 500 6/1/2013 BCR $103.09 Open $108.68 5.42% S&P 500 Breakout 6/12/2013 EA $21.70 6/18/13…    [Read More] 

Filed Under: Connors Research, ConnorsRSI Tagged With: High Performance Portfolios, portfolio management, S&P 500, Stocks

Last Chance to Register! S&P 500 Low-Volatility Growth Portfolio Training Session

June 19, 2013 by TradingMarkets Editors

REGN Low-Volatility Growth Portfolio Graph

This is your final chance to sign up for the S&P 500 Low-Volatility Growth Portfolio and dramatically improve your overall gains by trading S&P 500 stocks for both growth and safety. Here are the 5 most profitable trades in the S&P 500 Low-Volatility Growth Portfolio over the last 2 weeks (June 3 – June 18)…    [Read More] 

Filed Under: Connors Research, ConnorsRSI Tagged With: High Performance Portfolios, portfolio management, S&P 500, Stocks

This Month’s 5 Biggest Winners in the S&P 500 Low-Volatility Growth Portfolio

May 20, 2013 by Joshua Glasgall

Joshua Glasgall

Here are this month’s 5 biggest winners in the S&P 500 Low-Volatility Growth Portfolio through the first half of the month (May 1-May 15). Entry Date Symbol Entry Price Exit Date Current/Exit Price % Gain Strategy 5/13/2013 TSO $54.70 Open $62.24 13.78% S&P 500 Weekly Rotation-10 5/1/2013 PCP $191.29 Open $213.00 11.35% S&P 500 Breakout…    [Read More] 

Filed Under: Connors Research, Recent Tagged With: High Performance Portfolios, portfolio management, S&P 500, Stocks

5 Elements of a Successful Portfolio Strategy

April 3, 2013 by H. Kent Baker and Greg Filbeck

“I will tell you how to become rich. Close the doors. Be fearful when others are greedy. Be greedy when others are fearful.”  – Warren Buffett Much advice is available on how to become a successful investor. Some suggestions are useful while others are less so or even counterproductive. For example, here are a few…    [Read More] 

Filed Under: Contributors, Education Tagged With: asset allocation, portfolio management, Trading Lessons

How to Build a Balanced Portfolio with The Machine – Part 1

July 24, 2012 by Phil Suarez

The role of balance is vital in creating a high-performing portfolio. Learn how you can build a truly balanced portfolio using diversified strategies to maximize your returns and minimize your risk.

Filed Under: Recent, The Machine Tagged With: ETF Strategies, portfolio management, stock strategies, The Machine

Managing Your Portfolio With Options, Part 1

October 2, 2009 by Michael Thomsett

Why is options trading still a well-kept secret? Michael Thomsett explains the background of the options market and why options provide tremendous flexibility for all types of traders, even the highly conservative.

Filed Under: Recent, Trading Lessons, Trading Lessons Tagged With: Michael Thomsett, Options strategies, Options trading, options trading strategy, portfolio management, reducing market risks, trading options

How The Great Traders Manage Risk

August 19, 2005 by TradingMarkets Editors

Ken Grant has worked with several of the most successful hedge fund managers of all time, including Paul Tudor Jones and Steve Cohen. Learn to manage risk like they do…
Potential movers for Monday:
AIG |
HNZ
|

NWAC
|

WFMI

Filed Under: Big Saturday Interview, Recent Tagged With: controlling risk in trading, Dave Goodboy, Ken Grant, portfolio management, trading risk

Buy The Fear, Sell The Greed

Buy The Fear, Sell The Greed

Swing Trading College

New Book From Larry Connors and Chris Cain, CMT – "The Alpha Formula; High Powered Strategies to Beat The Market With Less Risk"

We’re excited to announce the release of a new investment book written by Larry Connors and Chris Cain, CMT. The book, “The Alpha Formula; High Powered Strategies to Beat The Market With Less Risk “ combines… Hedge fund legend Ray Dalio’s brilliant insight into combining uncorrelated strategies… With new, minimally correlated, quantified, systematic strategies to trade… [Read More]

Buy The Alpha Formula Now

Connors Research Traders Journal (Volume 57): 7 Real-World Reasons Why Short Strategies Should Be Included In Your Portfolio

In our new book, The Alpha Formula – High Powered Strategies to Beat the Market with Less Risk, we show the benefits of including short-strategies in your portfolio. As a reminder, building portfolios should be based on First Principles – otherwise known as truths. These truths are: Markets Go Up Market Go Down Markets Go… [Read More]

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