Below is CRAMER'S PORTFOLIO. And I'm sure Mr. Cramer doesn't mind me putting it up in this way so we all can see how he's doing.(I kept only the first LETTER of each stock) At the bottom of Cramer's Portfolio he puts his YTD RETURN which is -0.74 %.BUT, if you take out THE ONE STOCK which is +103.89, the Portfolio would be deep in the RED. This stock is a stock he's held on for 3 years now.(He's been a little hoggish with this don't you think?)
PLEASE NOT THAT IF YOU TAKE OUT
Stock's in the Plus Axy +1.48% Bxy + 1.38 Fxyz +5.27% Hxy +11.34% Mx +8.86% Sxyz +103.89% Uxy +0.94%
Stocks in the Minus Ax -1.95% Axyz -17.97% Bxy -1.09% Cyz -9.95% Gx -2.44% Ix -9.98% Mxyz -12.78% Mxy -6.76% Nx -9.90% Ny -4.79% NZ -0.08% Qxyz -12.86% Sxy -0.95% Txy -0.63% Uxy -10.15% Uyz -4.96% Yxyz -2.41%
I do like Cramer and think he's good and teaching somethings, but, let's be careful as to what this GURU tells you to buy and sell.
I believe EBAY has hit bottom here. And will either trade with the market, or go up. I say 1 down 10 up to 50 day moving average by year end.