Portfolio Breakdown:
BAC - 15.4%
PRGN - 5.0%
TBT - 12.6%
ITUB - 12.2%
AOB - 19.9%
WDC - 10.3%
HOGS - 38.2%
SDX - 10.6%
OCNF - 3.3%
PFE - 7.3%
MBI - 21.4%
ES - 4.6%
COIN Warrants - 0.5%
VIX $25 Apr, buy call - 0.8%
CAD Cash - 8.0%
USD Cash - (70.1%)
CAD/USD - 1.0115
Portfolio Performance:
Return Since Last Update - (5.61%)
Return Since Inception (June 30, 2009) - 172.70%
S&P 500 - 1159.90
S&P 500 Return (June 30, 2009) - 26.23%
Saturday, March 20, 2010
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