Here are my current positions: Stock - Average Cost AAPL - 535.65 GEO - 32.68 FTNT - 16.96 JCP - 9.51 LPX - 16.31 PWE - 8.70 TIVO - 12.56 VIP - 12.20 I am still half cash.
I am LONG all those stocks I mentioned, sorry I wasn't clear. I did EXIT JCP as I'm waiting to see what happens. I feel we are near a bottom, but I may be too early. I am confident that it is important to be long JCP before january, and they will update us with positive results , just like they did for november.
In other news , my "princess" and I are splitting up. I am moving out. It sucks but oh well. Such is life. One day you're milking dairy cows and the next you're in the slums running dice games. Ladies - the line starts behind Milla Jovovich from Resident Evil. At least I am back in orange county, good job, and back in the markets.
I exited PWE as it didn't have any follow-through on its small push higher. Didn't lose much, just not happy with the amount of time it is taking. The other positions are doing well.
Here are my current positions, all long. I am also watching ULTA and EQIX. AAPL - 535.65 (target 600) CCU - 24.05 (dividend) FTNT - 16.96 (target 20) GEO - 32.68 (dividend) GTLS - 95.91 (should have had this a few points lower. Target 115 area) JCI - 51.37 (target 55) LPX - 16.31 (target 20) OAS - 44.66 (target 54) OCN - 55.66 (target 60) TIVO - 12.56 (target above 14) VIP - 12.20 (dividend)