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Markets Closed for 2:09:32:18
DJIA 10,309.92 (154.48)   NASDAQ 2,138.44 (37.61)   S&P 500 1,091.49 (19.14)
Investing IQ is a kaChing-proprietary investor skill metric graded on a 0 - 200 scale. It consists of:
  1. Risk-Adjusted Return
  2. Quality of Investment Rationale
  3. How closely the investor sticks to his/her stated investing strategy

Please see our FAQ for more details.

Arrow_rightInvesting IQ:Question
Investing IQ requires three months of performance data.
NA
Risk-Adjusted Return:
Risk-Adjusted Return is calculated using the Information Ratio. It can contribute at most 50.0 Investing IQ points.

Please see our Glossary for more details.

NA
Sticks to Strategy:
Sticks to Strategy is calculated based on the investor's strategy and performance data. It can contribute at most 50.0 Investing IQ points.

Please see our Glossary for more details.

NA
Quality of Rationale:
Quality of Investment Rationale is calculated by taking the average rating of the investor's published research. It can contribute at most 100.0 Investing IQ points.

Please see our Glossary for more details.

NA
1 Wk. Return:
4.4%
watched by
0
watching
0

Nader GateCrasher

Strategy:
Value
Philosophy:
None
Blog/Site:
None

Holdings

•Analytics•Watchlist•History
Company  Last Price Shares Cost/
Share
Market
Value
Gain:
$ % $ %
% of
Port.
Long Positions
AMSG
 20.61 (0.58) 14,900 22.43 307,089 27,118 8.1% 3.2%
BCRX
 8.16 (0.51) 50,000 10.91 408,000 137,500 25.2% 4.3%
CF
 83.94 (1.02) 5,000 89.63 419,700 28,450 6.3% 4.4%
CRAY
 6.90 (0.19) 29,000 8.17 200,100 36,830 15.5% 2.1%
DECK
 93.86 (0.42) 5,000 97.36 469,300 17,500 3.6% 4.9%
DHX
 5.41 (0.19) 6,000 6.88 32,460 8,820 21.4% 0.3%
DLX
 12.89 (0.27) 32,000 15.18 412,480 73,280 15.1% 4.3%
EVOL
 5.90 (0.11) 4,000 7.14 23,600 4,960 17.4% 0.2%
IFLO
 12.64 (flat) 39,000 12.63 492,960 390 0.1% 5.2%
IPHS
 24.11 (0.31) 16,000 21.51 385,760 41,600 12.1% 4.1%
MSTR
 88.10 (1.89) 5,600 75.56 493,360 70,224 16.6% 5.2%
MWW
 14.92 (0.55) 25,000 18.06 373,000 78,500 17.4% 3.9%
NEP
 5.05 (0.10) 38,000 5.66 191,900 23,180 10.8% 2.0%
ONTY
 4.60 (0.11) 80,000 4.06 368,000 43,200 13.3% 3.9%
PPD
 39.02 (0.52) 7,900 41.86 308,258 22,436 6.8% 3.2%
PRGX
 4.61 (0.12) 16,000 6.54 73,760 30,880 29.5% 0.8%
SFLY
 14.57 (0.49) 20,000 14.62 291,400 1,000 0.3% 3.1%
UNTD
 6.83 (0.15) 50,000 8.91 341,500 104,000 23.3% 3.6%
USLM
 33.81 (0.70) 1,200 37.04 40,572 3,876 8.7% 0.4%
USMO
 10.22 (0.19) 21,400 12.68 218,708 52,644 19.4% 2.3%
Subtotal Longs: 5,851,907 495,560 7.8% 61.6%
Cash
Available Cash: 3,652,533 38.4%
Short Collateral: 0 0.0%
Subtotal Cash: 3,652,533 38.4%
Total: 9,504,440  
Stock prices 15 minutes delayed for NYSE/AMEX and NASDAQ.

Nader's Message Board

To post, please sign in or sign up.

Nader GateCrasher  ← click to see portfolio
11/19/09 12:25 AM




Just wanted to say I am still in the Game Long Term ;)




Nader GateCrasher
10/24/09 06:51 AM




Hi everyone,

Let the competition start !




1-2 of 2




Be notified when Nader trades or posts research.








Virtual Portfolio Value

$9,504,440
Today's Change

0 (0.0%)









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Analytics

1m1mmaxmax

Returns

S&P 500 Nader
Gain (1w): 4.4%
Rank (1w): 320

Allocation

Construction (1%)
Consumer Goods (8%)
Healthcare (27%)
Industrial (21%)
Media (6%)
Services (12%)
Technology (18%)
Telecom (4%)
Utilities & Energy (3%)
Industry
Market Cap
Style
Micro Cap (12%)
Mid Cap (22%)
Small Cap (67%)
Industry
Market Cap
Style
Growth (27%)
Value (73%)
Industry
Market Cap
Style
See complete Analytics


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Stock market data provided by Xignite • Real-time last sale data provided by NASDAQ

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PAST PERFORMANCE IS NO GUARANTEE OF FUTURE RESULTS, AND FUTURE RESULTS OF THE SIMULATED SECURITIES PORTFOLIOS ARE LIKELY TO BE DIFFERENT FROM THEIR PAST PERFORMANCE SHOWN IN THE APPLICATION. ALL EQUITY PORTFOLIOS INVOLVE RISK AND MAY LOSE MONEY.
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