| DATE |
PROFIT / LOSS |
CHART |
| 04 Jan -
10 Jan 06 |
33%
Profit |
Click
to Enlarge |
| 02 Jan -
13 Jan 06 |
25%
Profit |
Click
to Enlarge |
| 13 Jan -
18 Jan 06 |
25%
Profit |
Click
to Enlarge |
| 16 Jan -
24 Jan 06 |
66%
Profit |
Click
to Enlarge |
| 23 Jan -
26 Jan |
66%
Loss |
Bought
VAR FEB55PUT @$3.00,
stop loss @$1.00 |
| 24 Jan -
27 Jan 06 |
61%
Profit |
Click
to Enlarge |
| 24 Jan -
31 Jan 06 |
175%
Profit |
Click
to Enlarge |
| 3 Feb -
8 Feb 06 |
85%
Profit |
Click
to Enlarge |
| 16 Feb -
21 Feb 06 |
48%
Profit |
Click
to Enlarge |
| 21 Feb -
23 Feb |
29%
Loss |
Bought
IP MAR35PUT @$1.90,
stop loss @$1.35 |
| 17 Feb -
24 Feb 06 |
74%
Profit |
Click
to Enlarge |
| 24 Feb -
08 Mar 06 |
19%
Profit |
Click
to Enlarge |
| 27 Feb -
08 Mar 06 |
51%
Profit |
Click
to Enlarge |
| 09 Mar -
14 Mar 06 |
29%
Loss |
Bought
NKTR MAR17.50CALL @$3.00,
stop loss @$2.40 |
| 20 Mar -
22 Mar 06 |
223%
Profit |
Click
to Enlarge |
| 21 Mar -
22 Mar 06 |
49%
Loss |
Bought
EPD MAR25PUT @$0.90,
stop loss @$0.45 |
| 29 Mar -
04 Apr 06 |
36%
Profit |
Click
to Enlarge |
| 03 Apr -
06 Apr 06 |
68%
Profit |
Click
to Enlarge |
| 30 Mar -
06 Apr 06 |
17%
Loss |
Bought
DIS APR25PUT @$3.20,
stop loss @2.65 |
| 30 Mar -
05 Apr 06 |
5%
Loss |
Bought
AMTD APR17.5PUT @$3.90,
stop loss @3.70 |
| 10 Apr -
17 Apr 06 |
12%
Profit |
Click
to Enlarge |
| 10 Apr -
12 Apr 06 |
32%
Loss |
Bought
FNM MAY50CALL @$4.30,
stop loss @2.90 |
| 18 Apr -
25 Apr 06 |
14.7%
Loss |
Bought
MCO MAY65CALL @$6.80,
stop loss @5.80 |
| 21 Apr -
24 Apr 06 |
7%
Profit |
Click
to Enlarge |
| 18 Apr -
28 Apr 06 |
30%
Profit |
Click
to Enlarge |
| 18 Apr -
02 May 06 |
36%
Profit |
Click
to Enlarge |
| 02 May -
08 May 06 |
25%
Profit |
Click
to Enlarge |
| 02 May -
04 May 06 |
10%
Loss |
Bought
RIG Jun80CALL @$7.10,
stop loss @6.40 |
| 08 May -
11 May 06 |
30%
Loss |
Bought
CRDN Jun50CALL @$5.90,
stop loss @4.10 |
| 11 May -
11 May 06 |
20%
Profit |
Click
to Enlarge |
| 12 May -
15 May 06 |
28.75%
Profit |
Click
to Enlarge |
| 12 May -
18 May 06 |
26.67%
Profit |
Click
to Enlarge |
| 08 May -
11 May 06 |
30%
Loss |
Bought
STX Jun22CALL @$2.60,
stop loss @1.80 |
| 19 May -
24 May 06 |
38%
Loss |
Bought
BBY Jun50CALL @$4.20,
stop loss @2.60 |
| 22 May -
30 May 06 |
46%
Profit |
Click
to Enlarge |
| 26 May -
30 May 06 |
42%
Loss |
Bought
RTEC Jun15CALL @$2.80,
stop loss @1.60 |
| 05 Jun -
07 Jun 06 |
31%
Profit |
Click
to Enlarge |
| 06 Jun -
07 Jun 06 |
24%
Loss |
Bought
TRLG JuL17.5CALL @$2.25,
stop loss @1.70 |
| 14 Jun -
15 Jun 06 |
31%
Profit |
Click
to Enlarge |
| 29 Jun -
11 Jul 06 |
17%
Loss |
Bought
YUM JuL45CALL @$5.80,
stop loss @4.80 |
| 12 JuL -
18 Jul 06 |
4%
Loss |
Bought
CNO Sep25PUT @$2.25,
stop loss @2.15 |
| 06 JuL -
19 Jul 06 |
41%
Profit |
Click
to Enlarge |
| 20 JuL -
21 Jul 06 |
35%
Loss |
Bought
TSO Aug70Call @$5.20,
stop loss @3.40 |
| 24 JuL -
27 Jul 06 |
14%
Loss |
Bought
TKLC Aug7.5Call @$2.90,
stop loss @2.50 |
| 14 JuL -
24 Jul 06 |
42%
Profit |
Click
to Enlarge |
| 25 JuL -
02 Aug 06 |
44%
Profit |
Click
to Enlarge |
| 28 JuL -
08 Aug 06 |
15%
Profit |
Click
to Enlarge |
| 04 Aug -
09 Aug 06 |
35%
Loss |
Bought
BIDU Sep70Call @$7.80,
stop loss @5.10 |
| 16 Aug -
16 Aug 06 |
22.5%
Profit |
Click
to Enlarge |
| 16 Aug -
16 Aug 06 |
20.5%
Profit |
Click
to Enlarge |
| 14 Aug -
17 Aug 06 |
31%
Loss |
Bought
MHS OCT65Put @$4.80,
stop loss @$3.30 |
| 14 Aug -
17 Aug 06 |
23.5%
Loss |
Bought
CROX SEP25Call @$3.40,
stop loss @$2.60 |
| 14 Aug -
18 Aug 06 |
5%
Loss |
Bought
MRH OCT12.5Call @$5.70,
stop loss @$5.40 |
| 16 Aug -
21 Aug 06 |
3.5%
Profit |
Click
to Enlarge |
| 16 Aug -
24 Aug 06 |
9%
Profit |
Click
to Enlarge |
| 18 Aug -
25 Aug 06 |
52%
Loss |
Bought
SHLD SEP145Put @$7.20,
stop loss @$3.40 |
| 23 Aug -
28 Aug 06 |
18%
Loss |
Bought
SLW SEP7.5Call @$3.00,
stop loss @$2.45 |
| 16 Aug -
28 Aug 06 |
30%
Loss |
Bought
GSF SEP47.5Call @$3.90,
stop loss @$3.00 |
| 23 Aug -
29 Aug 06 |
19.5%
Loss |
Bought
STJ SEP40Put @$4.60,
stop loss @$3.70 |
| 23 Aug -
29 Aug 06 |
32%
Profit |
Click
to Enlarge |
| 05 Sep -
11 Sep 06 |
11%
Loss |
Bought
IOC OCT20Put @$5.50,
stop loss @$4.90 |
| 07 Sep -
11 Sep 06 |
15%
Profit |
Click
to Enlarge |
| 31 Aug -
12 Sep 06 |
15%
Profit |
Click
to Enlarge |
| 31 Aug -
12 Sep 06 |
10%
Profit |
Click
to Enlarge |
| 12 Sep -
12 Sep 06 |
20%
Profit |
Click
to Enlarge |
| 19 Sep -
20 Sep 06 |
30.5%
Loss |
Bought
RRC OCT22.5Call @$3.60,
stop loss @$2.50 |
| 14 Sep -
21 Sep 06 |
9.5%
Loss |
Bought
TELK OCT12.5Call @$5.20,
stop loss @$4.70 |
| 13 Sep -
21 Sep 06 |
10.5%
Loss |
Bought
LYO OCT22.5Call @$2.80,
stop loss @$2.50 |
| 15 Sep -
25 Sep 06 |
46.5%
Profit |
Click
to Enlarge |
| 27 Sep -
4 Oct 06 |
10.7%
Profit |
Click
to Enlarge |
| 02 Oct -
5 Oct 06 |
16.75%
Profit |
Click
to Enlarge |
| 11 Oct -
12 Oct 06 |
15.9%
Loss |
Bought
NKTR NOV 17.5 Put @$3.30,
stop loss @$2.90 & $2.65 |
| 13 Oct -
27 Oct 06 |
21.45%
Profit |
Click
to Enlarge |
| 26 Oct -
01 Nov 06 |
43%
Loss |
Bought
ENER NOV35Call @$4.20,
stop loss @$2.40 |
| 5 Oct -
03 Nov 06 |
44.75%
Profit |
Click
to Enlarge |
| 23 Oct -
03 Nov 06 |
23.33%
Profit |
Click
to Enlarge |
| 2 Nov -
7 Nov 06 |
37%
Loss |
Bought
FFIV DEC70PUT @$7.00,
stop loss @$4.40 |
| 3 Nov -
9 Nov 06 |
20.75%
Profit |
Click
to Enlarge |
| 6 Nov -
15 Nov 06 |
12.4%
Profit |
Click
to Enlarge |
| 2 Nov -
14 Nov 06 |
37.5%
Loss |
Bought
BBBY DEC42.5PUT @$3.60,
stop loss @$2.25 |
| 30 Oct -
16 Nov 06 |
45%
Loss |
Bought
SYNA DEC30PUT @$3.10,
stop loss @$1.70 |
| 16 Nov -
17 Nov 06 |
29.7%
Loss |
Bought
FTI JAN55PUT @$7.40,
stop loss @$5.20 |
| 16 Nov -
17 Nov 06 |
22.6%
Loss |
Bought
SPN DEC25PUT @$6.20,
stop loss @$4.80 |
| 20 Nov -
30 Nov 06 |
97%
Profit |
Click
to Enlarge |
| 20 Nov -
5 Dec 06 |
3.3%
Profit |
Click
to Enlarge |
| 1 Dec -
5 Dec 06 |
7.3%
Profit |
Click
to Enlarge |
| 28 Nov -
11 Dec 06 |
6%
Profit |
Click
to Enlarge |
| 8 Dec -
12 Dec 06 |
21.9%
Loss |
Bought
CMVT Jan 22.5 Put @$3.20,
stop loss @$2.50 |
| 30 Nov -
15 Dec 06 |
13.75%
Profit |
Click
to Enlarge |
| 15 Dec -
18 Dec 06 |
42.8%
Loss |
Bought
ASF Jan 40 Call @$3.50,
stop loss @$2.00 |
| 11 Dec -
19 Dec 06 |
2.75%
Profit |
Click
to Enlarge |
| 18 Jan -
24 Jan 07 |
21%
Loss |
Bought
GLW Feb 22.5 Put @$3.30,
stop loss @$2.60 |
| 17 Jan -
25 Jan 07 |
30%
Loss |
Bought
XLNX MAR 27.5 Put @$3.90,
stop loss @$3.00 |
| 11 Jan -
25 Jan 07 |
10.45%
Profit |
Click
to Enlarge |
| 23 Jan -
2 Feb 07 |
4.8%
Profit |
Click
to Enlarge |
| 1 Feb -
2 Feb 07 |
22%
Loss |
Bought
AYE Apr 45 Call @$2.90,
stop loss @$2.25 |
| 9 Jan -
2 Feb 07 |
48.8%
Profit |
Click
to Enlarge |
| 11 Jan -
7 Feb 07 |
8%
Profit |
Click
to Enlarge |
| 13 Feb -
20 Feb 07 |
42.2%
Profit |
Click
to Enlarge |
| 5 Feb -
21 Feb 07 |
2.7%
Profit |
Click
to Enlarge |
| 9 Feb -
22 Feb 07 |
45%
Loss |
Bought
CYMI Mar 45 Put @$3.10,
stop loss @$1.70 |
| 20 Feb -
23 Feb 07 |
30%
Loss |
Bought
PDGI Mar 22.5 Put @$2.50,
stop loss @$1.75 |
| 5 Feb -
21 Feb 07 |
15%
Profit |
Click
to Enlarge |
| 13 Feb -
26 Feb 07 |
6.5%
Profit |
Click
to Enlarge |
| 15 Feb -
27 Feb 07 |
62.5%
Loss |
Bought
NTY Mar 50 Call @$3.60,
stop loss @$1.35 |
| 26 Feb -
13 Mar 07 |
313%
Profit |
Click
to Enlarge |
| 6 Mar -
20 Mar 07 |
46%
Profit |
Click
to Enlarge |
| 27 Mar -
2 April 07 |
10%
Profit |
Click
to Enlarge |
| 28 Mar -
3 Apr 07 |
36%
Loss |
Bought
WYNN Apr 100 Put @$5.40,
stop loss @$3.40 |
| 1 Mar -
9 April 07 |
65%
Profit |
Click
to Enlarge |
| 10 Apr -
10 Apr 07 |
17.85%
Loss |
Bought
FDRY May 15 Put @$1.40,
stop loss @$1.15 |
| 11 Apr -
18 Apr 07 |
20.5%
Profit |
Click
to Enlarge |
| 3 Apr -
20 Apr 07 |
36.73%
Loss |
Bought
LOJN Jun 17.5 Call @$2.45,
stop loss @$1.55 |
| 26 April -
3 May 07 |
15.8%
Profit |
Click
to Enlarge |
| 3 May -
17 May 07 |
12.3%
Profit |
Click
to Enlarge |
| 1 June -
31 June 07 |
June has been a great month as all of our positions
are still in profit and running. All positions remains open and carried forward to July so there will be no result posting for June. Results
will be posted the moment the positions are closed. |
| 27 June -
11 July 07 |
36.73%
Loss |
Bought
LOJN Jun 17.5 Call @$2.45,
stop loss @$1.55 |
| 28 June -
12 July 07 |
60%
Loss |
Bought
JOSB Jul 40 Call @$3.20,
stop loss @$1.25 |
| 6 July -
12 July 07 |
29%
Loss |
Bought
TTWO Sep 20 Call @$2.35,
stop loss @$1.65 |
| 28 June -
16 July 07 |
9.5%
Profit |
Click
to Enlarge |
| 14 June -
17 July 07 |
69%
Profit |
Click
to Enlarge |
| 15 June -
18 July 07 |
67.25%
Profit |
Click
to Enlarge |
| 27 June -
20 July 07 |
8.75%
Profit |
Click
to Enlarge |
| 2 Aug -
10 Aug 07 |
5%
Profit |
Click
to Enlarge |
| 10 Aug -
17 Aug 07 |
15.6%
Loss |
Bought
ADP SEP 50 PUT @$3.20,
stop loss @$2.70 |
|
August Comments - This is definitely the most turbulent month in the market that most traders has seen for a long time. This is also
the month where we saw some hedge funds closed down. For us, it is simply a month with very little qualified trades as the Star Trading
System automatically keep us out by having only 2 qualified trades this month. Even though both trades were not impressive, it is
still great performance during such dangerous times and further testimony to the sentinel market reading behavior of the Star Trading System. |
| 31 Aug -
12 Sep 07 |
20%
Loss |
Bought
ALKS Nov 15 Call @$2.75,
stop loss @$2.20 |
| 31 Aug -
13 Sep 07 |
33%
Loss |
Bought
PAYX OCT $42.5 Call @$3.20,
stop loss @$2.04 |
| 13 Sep -
24 Sep 07 |
122%
Profit |
Click
to Enlarge |
| 13 Sep -
25 Sep 07 |
15.5%
Profit |
Click
to Enlarge |
| 19 Sep -
28 Sep 07 |
42.8%
Profit |
Click
to Enlarge |
| 18 Sep -
16 Oct 07 |
54%
Profit |
Click
to Enlarge |
| 2 Oct -
22 Oct 07 |
39.6%
Loss |
Bought
CYPB NOV 12.5 Call @$2.65,
stop loss @$1.60 |
| 23 Oct -
30 Oct 07 |
40%
Profit |
Click
to Enlarge |
| 14 Nov -
19 Nov 07 |
16%
Loss |
Bought
CCE JAN22.5Call @$3.10,
stop loss @$2.60 |
| 26 Nov -
27 Nov 07 |
33%
Loss |
Bought
CRZO DEC45Call @$6.40,
stop loss @$4.30 |
| 29 Nov -
9 Dec 07 |
34%
Profit |
Click
to Enlarge |
| 30 Nov -
11 Dec 07 |
35%
Profit |
Click
to Enlarge |
| 4 Dec -
12 Dec 07 |
73%
Profit |
Click
to Enlarge |
| 24 Dec -
2 Jan 07 |
55%
Loss |
Bought
MCD JAN57.5Call @$3.50,
stop loss @$1.55 |
| 20 Dec -
7 Jan 08 |
17.5%
Profit |
Click
to Enlarge |
| 2 Jan -
10 Jan 08 |
47.7%
Profit |
Click
to Enlarge |
| 21 Feb -
22 Feb 08 |
48%
Loss |
Bought
LEN MAR 17.5 Call @$2.80,
stop loss @1.45 |
|
February Comments - This month was exactly what all swing traders fear... a largely sideways month. To protect us from such a
market, the Star Trading System gave us only 1 trade, which even though turned out unfavorably, have saved us from making more losses.
Did we do badly? I don't think so. On a month where big hedge funds closed down and where investors are losing money across the board,
having only 1 trade on a small portion of our money does control the risk and save capital for another day. The Star Trading System,
being an intelligent system trading short term trends and swings, does continue to work in protecting us under such market conditions. |
| 5 Mar -
3 Mar 08 |
29%
Loss |
Bought
STJ April 30 Call @$9.20,
stop loss @$6.50 |
| 12 Mar -
20 Mar 08 |
19%
Loss |
Bought
AA April 30 Call @$8.40,
stop loss @$6.80 |
|
March Comments - Another sideways month. The Star Trading System continues to protect us by giving us only 2 trades this month
and even though both turned in bad, losses were controlled nicely within tight limits. You will never see catastrophic losses with
the Star Trading System due to the intelligent stop loss system that it uses. |
| 1 Apr -
25 Apr 08 |
20%
Loss |
Bought
ALO June 20 Call @$7.50,
stop loss @$6.00 |
| 16 Apr -
28 Apr 08 |
40.4%
Profit |
Click
to Enlarge |
| 1 May -
7 May 08 |
35%
Loss |
Bought
DDS June 20 Call @$2.40,
stop loss @$1.55 |
| 23 May -
30 May 08 |
54.5%
Profit |
Click
to Enlarge |
| 28 May -
13 June 08 |
43%
Loss |
Bought
RIMM July 130 Call @$14.50,
stop loss @$8.30 |
| 28 May -
06 June 08 |
40.4%
Profit |
Click
to Enlarge |
| 30 May -
11 June 08 |
29%
Loss |
Bought
SCHW Sep 20 Call @$3.60,
stop loss @$2.55 |
| 3 June -
19 June 08 |
31%
Profit |
Click
to Enlarge |
| 17 June -
23 June 08 |
30%
Loss |
Bought
AAP Sep 35 Call @$7.90,
stop loss @$5.50 |
| 11 July -
16 July 08 |
29%
Loss |
Bought
FL Aug 15 Put @$3.30,
stop loss @$2.35 |
| 24 July -
30 July 08 |
31%
Profit |
Click
to Enlarge |
| 21 Aug -
28 Aug 08 |
8.5%
Profit |
Click
to Enlarge |
| 20 Aug -
2 Sep 08 |
57%
Loss |
Bought
WYE Sep 45 Put @$3.50,
stop loss @$1.50 |
| 27 Aug -
4 Sep 08 |
35%
Loss |
Bought
TKLC Nov 15 Call @$2.30,
stop loss @$1.50 |
| 12 Aug -
5 Sep 08 |
200%
Profit |
Click
to Enlarge |
| 3 Sep -
12 Sep 08 |
25.7%
Profit |
Click
to Enlarge |
|
October Comments - The Star Trading System is designed and programmed to keep traders out of the market by having no qualified trades
during trendless and volatile times. The Star Trading System kept us out this entire month as it was a totally sideways month, which is further
testimony to the Star Trading System's ability to read market conditions and guide beginners who do not necessarily possess such skills. |
| 23 Oct -
20 Nov 08 |
61%
Profit |
Click
to Enlarge |
| 2 Dec -
8 Dec 08 |
40%
Loss |
Bought
LXK Jan 25 Put @$2.55,
stop loss @$1.50 |
| 19 Dec -
29 Dec 08 |
29%
Profit |
Click
to Enlarge |
| 31 Dec -
14 Jan 09 |
40%
Loss |
Bought
PNRA Feb 50 Call @$7.00,
stop loss @$4.20 |
| 7 Jan -
21 Jan 09 |
21.6%
Profit |
Click
to Enlarge |
| 5 Feb -
9 Feb 09 |
32.3%
Loss |
Bought
VZ Mar 32.5 Call @$2.81,
stop loss @$1.90 |
| 29 Jan -
6 Feb 09 |
29.5%
Loss |
Bought
JPM Mar 26 Put @$4.40,
stop loss @$3.10 |
| 11 Feb -
10 Mar 09 |
61.7%
Profit |
Click
to Enlarge |
| 12 Mar -
14 Apr 09 |
70%
Loss |
Bought
GNK Apr 12.5 Call @$2.70,
stop loss @$0.80 |
| 3 Apr -
17 Apr 09 |
41.6%
Profit |
Click
to Enlarge |
| 17 Apr -
23 Apr 09 |
18.7%
Profit |
Click
to Enlarge |
| 9 Apr -
5 May 09 |
35.4%
Profit |
Click
to Enlarge |
| 1 June -
29 June 09 |
25%
Profit |
Click
to Enlarge |
| 1 June -
29 June 09 |
25%
Profit |
Click
to Enlarge |
| 22 June -
15 July 09 |
30%
Loss |
Bought
CAH July $35 Put @$4.90,
stop loss @$3.40 |
| 23 July -
5 Aug 09 |
37%
Loss |
Bought
SFD Oct $12.5 Call @$2.15,
stop loss @$1.35 |
| 30 July -
11 Aug 09 |
25%
Profit |
Click
to Enlarge |
| 7 Aug -
31 Aug 09 |
23%
Loss |
Bought
AEO Sep $12.5 Call @$3.00,
stop loss @$2.30 |
| 27 Aug -
11 Sep 09 |
24.5%
Profit |
Click
to Enlarge |
| 8 Sep -
15 Sep 09 |
53%
Profit |
 |
| 4 Sep -
23 Sep 09 |
108%
Profit |
Click
to Enlarge |
| 4 Sep -
24 Sep 09 |
34%
Loss |
Bought
MXIM Nov $17.50 Call @$2.30,
stop loss @$1.50 |
| 8 Sep -
7 Oct 09 |
40.5%
Profit |
Click
to Enlarge |
| 1 Sep -
12 Oct 09 |
26.5%
Profit |
Click
to Enlarge |
| 16 Sep -
19 Oct 09 |
52%
Profit |
Click
to Enlarge |
| 12 Oct -
23 Oct 09 |
41%
Loss |
Bought
STP Nov $14 Call @$2.55,
stop loss @$1.50 |
|
November Comments - No trades were qualified by the Star Trading System for the whole month of November due to the uncertain and sideways market. |
| 11 Dec -
17 Dec 09 |
37%
Profit |
Click
to Enlarge |
| 14 Dec -
29 Dec 09 |
34%
Profit |
Click
to Enlarge |
| 5 Jan -
7 Jan 10 |
26%
Profit |
Click
to Enlarge |
| 10 Dec -
8 Jan 10 |
15.5%
Profit |
Click
to Enlarge |
| 2 Dec -
11 Jan 10 |
52.7%
Profit |
Click
to Enlarge |
 |
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|