Portfolio Holdings

JamesHartje [93]

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Holdings

Position Commentary
Holding Return Exposure Trades Last Price Rationale Votes
IVN 112.93%  22.5%
Long
3  10-Aug-09   7.43   n/a  
C 19.43%  9.2%
Long
2  08-Jan-10   3.42   n/a  
EOG 11.30%  8.6%
Long
1  13-Jan-10   82.65   n/a  
FLR 1.07%  8.5%
Long
1  02-Dec-09   44.90   n/a  
UA 6.56%  8.1%
Long
1  22-Dec-09   26.97   n/a  
PBR -1.45%  6.8%
Long
1  22-Dec-09   46.10   n/a  
GS 9.24%  6.7%
Long
1  26-Feb-10   163.22   n/a  
GME -8.69%  6.4%
Long
2  22-Dec-09   22.75   n/a  
CYTK 4.76%  6.2%
Long
1  08-Jan-10   3.15   n/a  
USG 26.64%  5.8%
Long
3  13-Aug-09   14.94   n/a  
MO 15.87%  5.7%
Long
1  11-Mar-10   18.50   n/a  
NE 14.03%  3.9%
Long
4  22-Dec-09   41.50   n/a  
GIGM -36.52%  1.5%
Long
2  13-Aug-09   4.57   n/a  
 

Performance data as of 21-Mar-10. All other data updated in real-time. The trades listed represent real trades executed by JamesHartje with his/her online broker. Covestor maintains a verifiable audit trail of member trades.

Note: We will be adding new asset classes but do not currently include cash, options, CFDs, bonds and CDs.