Sentences with phrase «stock position before»

On a basic level, you may want to know the gain or loss on a particular stock position before you place a trade.

Not exact matches

The performance goals upon which the payment or vesting of any Incentive Award (other than Options and stock appreciation rights) that is intended to qualify as Performance - Based Compensation depends shall relate to one or more of the following Performance Measures: market price of Capital Stock, earnings per share of Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on equity or stockholder equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on invstock appreciation rights) that is intended to qualify as Performance - Based Compensation depends shall relate to one or more of the following Performance Measures: market price of Capital Stock, earnings per share of Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on equity or stockholder equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on invStock, earnings per share of Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on equity or stockholder equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on invStock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on equity or stockholder equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on invested
Under the Bonus Plan, our compensation committee, in its sole discretion, determines the performance goals applicable to awards, which goals may include, without limitation: attainment of research and development milestones, sales bookings, business divestitures and acquisitions, cash flow, cash position, earnings (which may include any calculation of earnings, including but not limited to earnings before interest and taxes, earnings before taxes, earnings before interest, taxes, depreciation and amortization and net earnings), earnings per share, net income, net profit, net sales, operating cash flow, operating expenses, operating income, operating margin, overhead or other expense reduction, product defect measures, product release timelines, productivity, profit, return on assets, return on capital, return on equity, return on investment, return on sales, revenue, revenue growth, sales results, sales growth, stock price, time to market, total stockholder return, working capital, and individual objectives such as MBOs, peer reviews, or other subjective or objective criteria.
However, since most stocks are already too extended to the downside in the near - term, it is crucial to wait for a decent bounce before initiating new short positions (be sure to review this classic blog post for the key points of my short selling strategy).
As broad market conditions have been eroding over the past month, subscribers of The Wagner Daily newsletter who have been following the signals of our market timing system should be quite happy now because they would have been out of all long positions of individual stocks just a few days before last Friday's (October 19) big decline, thereby avoiding substantial losses and the pain that is now being felt by traditional «buy and hold» investors right now.
Since generating the «sell» signal on April 4, 2012 that got us out of our long positions near the top, right before stocks entered into a correction, we have subsequently been positioned in a combination of cash and short positions or inverse ETFs.
As long a fear does not arise on the stock, it will flatten out to December when most short positions are covered, certainly before March 30 tax year end for brokerage houses.
Building a position in the stock before its obvious breakout point is tricky because there is no guarantee the stock will gap higher after earnings.
It does not mean energy stocks can not go down more and there is a fair chance that oil may still go down further, however, I feel good about nibbling now to build up positions and add even more positions later if the energy stocks were to go down further, getting Santa Claus gifts even before arrival of Christmas to patient investors and we will be rewarded for that for long time to come.
I don't know about Combs, but Hempton is wrong on Weschler I think, who is known for owning very concentrated positions in very few stocks and holding them for years (he compounded money at around 25 % annually for 12 years in his fund before closing it to go work for Buffett, and the majority of his returns came from just a few positions that he held the entire life of the fund).
Further, the competitive position of these companies should enable them to capture much of the economics from U.S. corporate tax reform, yet the stocks both trade for lower prices than before the passage of the bill.
Below is a chart that shows the «cup and handle» setup of the stock before our entry point: On February 23, we sent out an intraday alert to subscribers of The Wagner Daily, notifying them we were establishing a long position in -LSB-...]
In this blog post, I walk through the «before» and «after» stock charts of two winning trades that were recently closed, as well as one open position that is looking good.
Also, a protective put can help investors limit the potential risk of a stock ownership position before an earnings report that could result in a volatile move.
As I have mentioned previously I simply run a nightly scan of Long and Short stock candidates hitting 52 week highs / lows and keep note of these stocks and over the course of the coming days and weeks I look for which stocks keep hitting the parameters of my scans before taking a closer look at the chart, once I see there is a clean smooth trend be it going up or down I then calculate from that afternoons closing price and where the stop loss would need to be positioned on the first day the trade is placed in line with my risk management and then simply wait for the open the following day to open the trade then my system does the rest.
In case the options contract gets exercised on or before the expiration date, the stock exchange will calculate the profit / loss on your position.
The trader can manage their trading schedule themselves, and it is even possible to open and close positions late at night or early in the morning before stock markets are even open.
I've rather typically built larger positions in a relatively short period of time — as fast as capital and other available opportunities would allow — by just buying the same stock pretty much over and over again over the course of a few months or so, before finding myself pretty well stocked up on that particular name and then moving on to other ideas.
Among the list of stock selection and trading ideas maintained at the TSI web site there was, until the week before last, a Tesla (TSLA) put option position.
Although Altria is one of the largest positions in my personal portfolio, and a welcome addition to the IBP, I highly recommend each investor conduct his or her own due diligence before buying MO or any other stock.
, pls Nial is it right to study the positions of the dollar index and stock indexes before placing a trade?.
Time and again, I see people averaging down on their positions on stocks like Noble Group before their share price tanked and it frustrates me that people just don't learn.
Once a good performing stock has been identified, don't wait for a pullback in price before taking your position.
As said before, several stock positions will become «productive» in 2018.
Every investor has a certain set of criteria that a stock must meet before he or she will enter in to a position.
Two stocks — Praxair, Inc. (PX) and T. Rowe Price Group Inc. (TROW)-- increased their respective dividends just before I initiated my position in each.
It's tough, but necessary, to have an objective in mind before you actually begin to search around for undervalued stocks because it will help you manage the position in the future.
If you are one of them, then don't open an iron condor position unless you believe the stock is NOT going to make such a move before the options expire.
In a study known as, «Big Bets,» it was found that domestic stock portfolios with strong weightings in a relatively small number of holdings delivered higher returns — both before and after expenses — than portfolios which held more uniformly weighted positions.
If you aren't using your fire this winter but have a large cavern to fill, then stuff a log basket with hundreds of beautiful baubles before stringing stockings from it, positioning candles on top and sprinkling with strands of foliage.
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