Finance Report

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Weekly Report 1 (NOV. 6, 2017 - Nov. 10, 2017)

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1. Performance Analysis

1.1. Firm-Specific Analysis

A: High P/E Stocks Portfolio

Tickers

Symbols

$ Capital Gain/Loss

% Capital Gain/Loss

Stocks to Sell ($sales)

New stocks

($value)

Evaluation

(Good/Bad)

ABMD

23.56

0.02%

14853.96

GOOD

WDC

225.00

2.60%

GOOD

ANIP

(5.67)

(0.23%)

BAD

SAFM

810.05

6.40%

GOOD

Portfolio

1052.94

8.79%

Mention what stock(s) significantly cause the change (gain/loss) in the value of this portfolio and explain what happened to the firm(s). Note that there always is a reason on why stock prices change. Try to identify the firm-specific news (not the market news) and evaluate your selection on the stocks.

B: Glamour Stocks Portfolio

Tickers

Symbols

$ Capital Gain/Loss

% Capital Gain/Loss

Stocks to Sell ($sales)

New stocks

($value)

Evaluation

(Good/Bad)

AMZN

275.00

1.46%

GOOD

BR

82.11

1.85%

GOOD

NVDA

298.00

4.31%

8645.60

GOOD

IPGP

250.12

4.50%

GOOD

Portfolio

905.23

12.12%

Mention what stock(s) significantly cause the change (gain/loss) in the value of this portfolio and explain what happened to the firm(s). Try to identify the firm-specific news (not the market news) and evaluate your selection on the stocks.

C: Growth Stocks Portfolio

Tickers

Symbols

$ Capital Gain/Loss

% Capital Gain/Loss

Stocks to Sell ($sales)

New stocks

($value)

Evaluation

(Good/Bad)

QCOM

154.50

1.60%

GOOD

TXN

(52.00)

(0.90%)

4847.00

BAD

BABA

377.60

1.27%

GOOD

AL

(76.23)

(1.48%)

4279.77

BAD

Portfolio

403.87

0.49%

Mention what stock(s) significantly cause the change (gain/loss) in the value of this portfolio and explain what happened to the firm(s). Try to identify the firm-specific news (not the market news) and evaluate your selection on the stocks.

D: Value Stocks Portfolio

Tickers

Symbols

$ Capital Gain/Loss

% Capital Gain/Loss

Stocks to Sell ($sales)

New stocks

($value)

Evaluation

(Good/Bad)

VIV

21.00

(0.60%)

GOOD

ACT

0.00

0%

4665.00

BAD

MU

395.25

2.12%

GOOD

PFE

(123.00)

(1.15%)

10554.00

BAD

Portfolio

293.25

0.37%

Mention what stock(s) significantly cause the change (gain/loss) in the value of this portfolio and explain what happened to the firm(s). Try to identify the firm-specific news (not the market news) and evaluate your selection on the stocks.

E: Your Own Portfolio

Tickers

Symbols

$ Capital Gain/Loss

% Capital Gain/Loss

Stocks to Sell ($sales)

New stocks

($value)

Evaluation

(Good/Bad)

BIDU

(159.30)

(2.19%)

7122.00

BAD

AAPL

230.50

1.33%

17467.00

GOOD

JPM

(312.00)

(3.78%)

7800.80

BAD

SBUX

117.60

1.88%

GOOD

Portfolio

(123.20)

(2.76%)

Mention what stock(s) significantly cause the change (gain/loss) in the value of this portfolio and explain what happened to the firm(s). Try to identify the firm-specific news (not the market news) and evaluate your selection on the stocks.

1.2. Market Analysis

First, identify any economic events or political news and evaluate them in terms of a positive, negative, or neutral impact on the stock markets. Then, mention which stocks and portfolios were affected by these events in what direction. Pay attentions to the news about the oil prices, commodity prices, the changes in macroeconomic indicators, the world economy, the Chinese economy, currency exchange rates, etc.