KONE 11/9/2017 Buy 30.0000 4.0500 0.00 121.50 30.0000 11/20/2017 Buy 30.0000 3.8500 0.00 115.50 60.0000 1/30/2018 Buy 20.0000 4.6700 0.00 93.40 80.0000 1/31/2018 Sell 60.0000 7.7000 0.00 462.00 20.0000
CASC Transaction Date Transaction Type Dividend Per Share Shares Transacted Share Price $ Split Ratio Commission $ Transaction Value $ Share Balance 12/1/2016 Buy 20.0000 5.0400 0.00 100.80 20.0000 6/29/2017 Buy 30.0000 3.7400 0.00 112.20 50.0000 1/31/2018 Sell 50.0000 10.1500 0.00 507.50 0.0000
DRNA, GBT, CVRS, RYAM, SITO, GEN, BBW, AGEN, DQ, GTXI, NBL up big today... Sold out of small positions in DIN, PAR, ZN, DCAR Sold 70 of 80 PGTI, made ~ $460 Sold 70 of 80 VYGR, made ~ $315 Bought 100 WMT at $94.80
Nice pops in MYOK, TGTX, QBAK, HYGS, LZB, CHEF, ANTH, AKER, VYGR, CMTL, BPMC. Sold 40 AAP, made ~ $490. Sold 380 of 430 LGCY, made ~ $380. Sold 40 of 50 RCKY, made ~ $190. Sold 40 NCI, made ~$180. Sold 40 HSTM, made ~ $175. Sold 90 BBRG, made ~ $145. Sold 30 of 50 SNSS, made ~ $130. Sold 30 of 40 HCKT, made ~ $120. Sold 20 LPSN, made ~ $100.
Sold 20 of 30 SGMO at $26.65, made ~ $140. Sold 10 MANT at $61.05, made ~ $125. Sold 30 CECO at $13.40, made ~ $125. Sold 400 of 460 DNR at $2.36, made ~ $290. Sold 20 FINV at $30.87, made ~ $150. Sold 50 of 60 WLL at $28.45, made ~ $175. Sold 800 AKER at $0.5691, made ~ $150. Sold 60 of 70 RCKT at $18.99, made ~ $200. Sold 30 of 40 STMP at $211.4689, made ~ $1145. Nice pops in HSC, CAR, GTLS, RGEN, MB, UNT, FCN, MNTA, STML...
It's more selling off some or all of a position in an individual security that appears to be toppy and overheated in the short term. Sometimes I'm wrong, but I'm often right that a security that has jumped up at least 10% overnight is temporarily overbought, and that at least some profits should be taken (if I can realize a decent profit). I am typically taking profits on several securities on most days, but I am also usually buying / buying more of other individual securities on any given day when opportunities present themselves. I bought 100 WMT last week on the big 10% dip. I had last bought several hundred shares back in late 2015 when it sold off hard, and I was still holding 10 of those shares. I also added a bit to my position in SHOP on a 5-6% selloff last week, among others.