Zymeworks Inc. Common Shares aka ZYME

ZYME Current Situation

  • Hold stock

ZYME Plot with Buy and Sell Trade Signals

  • ZYME open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for Zymeworks Inc. Common Shares (ZYME)

ZYME Trading Results

Total Percentage Period
20.88 3 Months
16.25 6 Months
24.30 9 Months
19.46 YTD Months
47.37 12 Months
159.37 24 Months
162.99 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for ZYME was used as the benchmark

YETI Holdings, Inc. Common Stock aka YETI

YETI Current Situation

  • Hold stock

YETI Plot with Buy and Sell Trade Signals

  • YETI open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for YETI Holdings, Inc. Common Stock  (YETI)

YETI Trading Results

Total Percentage Period
-0.58 3 Months
21.90 6 Months
21.69 9 Months
48.12 YTD Months
48.12 12 Months
48.12 24 Months
48.12 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for YETI was used as the benchmark

Verra Mobility Corporation Class A Common Stock aka VRRM

VRRM Current Situation

  • Hold stock

VRRM Plot with Buy and Sell Trade Signals

  • VRRM open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for Verra Mobility Corporation Class A Common Stock  (VRRM)

VRRM Trading Results

Total Percentage Period
2.37 3 Months
6.13 6 Months
34.74 9 Months
46.03 YTD Months
34.84 12 Months
37.13 24 Months
37.13 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for VRRM was used as the benchmark

ProShares Trust Ultra VIX Short Term Futures ETF aka UVXY

UVXY Current Situation

  • Hold cash

UVXY Plot with Buy and Sell Trade Signals

  • UVXY open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for ProShares Trust Ultra VIX Short Term Futures ETF  (UVXY)

UVXY Trading Results

Total Percentage Period
-12.56 3 Months
4.99 6 Months
9.06 9 Months
-7.65 YTD Months
3.03 12 Months
107.75 24 Months
67.27 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for UVXY was used as the benchmark

Teladoc Health, Inc. Common Stock aka TDOC

TDOC Current Situation

  • Hold cash

TDOC Plot with Buy and Sell Trade Signals

  • TDOC open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for Teladoc Health, Inc. Common Stock  (TDOC)

TDOC Trading Results

Total Percentage Period
12.72 3 Months
5.59 6 Months
5.04 9 Months
2.94 YTD Months
28.24 12 Months
107.59 24 Months
99.00 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for TDOC was used as the benchmark

SYMC Symantec Corporation Common Stock aka SYMC

SYMC Current Situation

  • Buy

SYMC Plot with Buy and Sell Trade Signals

  • SYMC open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for 
SYMC
Symantec Corporation Common Stock
 (SYMC)

SYMC Trading Results

Total Percentage Period
0.00 3 Months
0.00 6 Months
0.00 9 Months
0.00 YTD Months
0.00 12 Months
0.00 24 Months
-9.60 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for SYMC was used as the benchmark

Snap Inc. Class A Common Stock aka SNAP

SNAP Current Situation

  • Sell

SNAP Plot with Buy and Sell Trade Signals

  • SNAP open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for Snap Inc. Class A Common Stock  (SNAP)

SNAP Trading Results

Total Percentage Period
-10.59 3 Months
-5.10 6 Months
6.59 9 Months
64.35 YTD Months
55.34 12 Months
85.40 24 Months
72.50 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for SNAP was used as the benchmark

Smartsheet Inc. Class A Common Stock aka SMAR

SMAR Current Situation

  • Hold stock

SMAR Plot with Buy and Sell Trade Signals

  • SMAR open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for Smartsheet Inc. Class A Common Stock  (SMAR)

SMAR Trading Results

Total Percentage Period
7.35 3 Months
4.08 6 Months
10.38 9 Months
58.48 YTD Months
46.41 12 Months
12.23 24 Months
12.23 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for SMAR was used as the benchmark

SHOPIFY CL A SUB VTG aka SHOP

SHOP Current Situation

  • Hold stock

SHOP Plot with Buy and Sell Trade Signals

  • SHOP open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for SHOPIFY CL A SUB VTG (SHOP)

SHOP Trading Results

Total Percentage Period
-25.06 3 Months
-11.81 6 Months
12.12 9 Months
19.99 YTD Months
34.24 12 Months
73.64 24 Months
111.84 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for SHOP was used as the benchmark

Stitch Fix, Inc. Class A Common Stock aka SFIX

SFIX Current Situation

  • Hold stock

SFIX Plot with Buy and Sell Trade Signals

  • SFIX open price graphed for rolling 12 months
    • Rolling 12 month plot starts on 2018-11-16
    • Rolling 12 month only includes complete buy sell pairs
  • Buy is marked with an X
  • Sell is marked with an octagon
  • Trades are executed at market open
  • A buy and a sell resulting in a gain is highlighted in green
  • A buy and a sell resulting in a loss is highlighted in red
  • Click links below and move crosshairs over interactive plots
  • Click graph below to enlarge it


Adjusted Open Plot for Stitch Fix, Inc. Class A Common Stock  (SFIX)

SFIX Trading Results

Total Percentage Period
9.13 3 Months
14.15 6 Months
-12.58 9 Months
17.46 YTD Months
0.69 12 Months
10.67 24 Months
10.67 All Months

Trade Assumptions

  • Results are added up to calculate total % change
  • Results don’t account for compounding of % gains
  • Results that are positive are gains
  • Results that are negative are losses
  • Results don’t include incomplete buy/sell pairs (e.g. a buy without a sell)
  • Results don’t account for dividends, even if dividend payment is applicable
  • Results include a commission of $0.029 per share for both buys and sells
  • You will need to account for your broker’s specific commission costs
  • Results may be impacted by inaccurate or incomplete data
  • Results are only for educational and informational use
  • Results don’t account for taxes
  • You will need to consult a tax professional
  • Buy and hold strategy for SFIX was used as the benchmark