martes, 25 de diciembre de 2012

3 CARTERAS DE Wall Street 2013

BATIRAL SP500 2013 : +36,62%
10 VALORES TECNOLOGICOS 2013 : +40,25%
10 VALORES 5 ESTRELLAS 2013 : +51,45%

RENTABILIDAD MEDIA ANUAL : +42,77%

ACTUALIZADO : 31/12/2013

lunes, 17 de diciembre de 2012

10 VALORES 5 ESTRELLAS PARA 2013 WS

3M COMPANY  91,98 - 103,23  +12,48%
AMERICAN EX  56,67 - 61,69  +8,86%
AT&T  33,32 - 35,36  +6,12%
CITIGROEP  39 - 43,84  +12,41%
FEDEX  90,39 - 106,42  +17,739'%
GOOGLE  700,00 - 792,42  +13,27%
INTERNATIONAL P  39,84 - 42,17  +5,85%
JP MORGAN CH  43,97 - 48,88  +11,17%
JONHSON & J.  70,10 - 76,16  +8,64%
QUALCOMM  60,63 - 65,43  +7,92%

RENTABILIDAD : +12,27%

RENTAB SP 500 : +7,07%

PORCENTAJE DE ACIERTO : 100%

domingo, 16 de diciembre de 2012

QUE SIGA LA FIESTA EN WALL STREET


15/12/12 Ya terminando el año bursatil en Wall Street pero la fiesta quiere seguir sumando ganancias como el tío Gilito bañado en oro con ganancias superiores en los mercados americanos de mas del 10% anual que no están nada mal, normal con tipos practicamente a 0 el dinero fluye hacia la bolsa los activos de riesgo están de moda en Wall Street que te puede dejar mas que los mercado  ahora  mismo y la FED comprando bonos a punta pala los llamados QE ya comente que mientras los tipos sigan bajos la bolsa sube la noticia de cambio de tipos sera el pistoletazo de salida de la gran fiesta que llevan Wall Street desde 2009 es impresionante Dow jones +45%  SP500 +52% NASDAQ 100 DEL +100% pero la fiesta quiere seguir. viendo graficos ahora creo que nos vamos a los máximos en los mercados americanos aunque hay abra que viguilar y estar atentos puede llegar algún susto el Dow Transporter el mas retrasando de los índices esta mejorando el grafico y esto me gusta veremos si esta es la buena lleva lateral 6 meses y una descorrelacion con sSP500 DEL 10% QUE AHORA a corregido solo al 5% espero que el mercado americano siga subiendo pero con menor ritmo ahora le toca a Europa sembrar el grano para tiempos venideros haber si este año 2013 la fiesta se va para Europa ya 5 años de crisis y los graficos europeos empiezan a tener mejor pinta la siembra esta hachada y a esperar su tiempo para recojer la cosecha SUERTE EN SUS INVERCIONES EN 2013 PARA TODOS GRACIAS



MI VISION DE APPLE CAIDA A LOS 400$


BATIRAL SP500 2013

3M COMPANY  91,78 - 98,08  +6,28%
ADOBE SYS  36,90 - 37,73  +1,69%
AMERICAN EXP  56,67 - 60,74  +6,59%
AMERICA I. G.  35,30 - 35,09  -1,14%
APPLE  509,00 - 502,68  -1,90%
AT&T  33,32 - 33,20  -0,91%
BOEING  74,69 - 75,26  +0,21%
BRISTOL MYERS  32,59 - 34,46  +5,16%
CITIGROEP  39,56 - 41,66  +4,73%
COCA COLA  36,25 - 37,70  +3,43%
EXXON MB.  85,10 - 90,20  +5,41%
FEDEX  90,39 - 99,93  +9,95%
GENERAL ELC.  20,44 - 21,30  +3,64%
GENERAL MT  28,83 - 29,28  +1%
HONEYWELL  63,47 - 67,81  +6,25%
GOOGLE  700,00 - 711, 32  +1,06%
JOHNJON & J.  69,48 - 72,90  +4,35%
J P MORGAN CH  43,24 - 46,44  +6,81%
ORACLE  33,02 - 34,66  +4,40%
PAYCHEX  30,88 - 33,02 - 34,66  +4,40%
PEPSICO  68,08 - 72,43  +5,81%
PROCTER & GAN.  67,15 - 69,67  +3,18%
QUALCOMM  60,63 - 65,14  +6,84%
SYMANTEC  18,16 - 20,85  +14,18%
TERADYNE  16,89 - 17,13  +0,86%
TEXAS INST  30,47 - 33,20  +8,35%
THE GODMAN SHA  125,52 - 141,01  +11,72% 
UNITED T.  80,81 - 86,40  +6,33%
YELLS FARGO  33,91 - 35,03  +2,74%
YAHOO  19,50 - 20,13  +2,66%

ACTUALIZADO : 18/01/2013

RENTABILIDAD : +3,64%

SP500 : +3,65%

miércoles, 14 de noviembre de 2012

miércoles, 17 de octubre de 2012

5 BANCOS EUROPEOS 2013 - 2015


BBVA  6,16 - 9,19  +47,30% 
SANTANDER  4,80 - 6,55  +34,06%
BNP  40,03 - 55,11 +38,87%
SOCIETE GENERALE  27,29 - 44,83  +64% 
DEUTSCHE BANK. 30,93 - 30,70  +4,67%

RENTABILIDAD  +37,78% 



ACTUALIZADO  17/04/15 

5 BANK WALL STREET RESULTS 3ª

WELLS FARGO results of the first 9 months of 2012, M 4940 22% $ 185,800 M $ catitalizacion

JP MORGAN CHASE results of the first 9 months of 2012, 5710 M $ A $ 34 MAS capitalization $ 159,900 M

GOLDMAN SACHS results of the first 9 months of 2012, $ 4.583M 34% more capitalization $ 58,480 M

CITIGROUP results of the first 9 months of 2012, $ 6.349M -34% LESS capitalization 104.160 M $

BANK OF AMERICA results of the first 9 months of 2012, $ 2493 M 126% M $ 100.650 MAS capitalization

The winner of the first benefit in 2012 CITIGROUP, JP MORGAN CHASE, WELLS FARGO BANK OF AMERICA GOLDMAN SACHS

The first market capitalization WELLS FARGO, JP MORGAN CHASE, BANK OF AMERICA CITIGOUP GOLDMAN SACHS

Profitability of the action in 2012 first BANK OF AMERICA CITIGROUP 70% 40% 28.5% JP MORGAN CHASE GOLDMAN SACHS WELLS FARGO 26% 22.4%

My portfolio of five Wall Street banks in 2012 has a yield of 34.5% more

Who gives more # BATIRALIBEX35 The data are collected from international financial sources

LOS 5 MAGNIFICOS DE #WallStreet resultados 3ª

WELLS FARGO resultados de los 9 primeros meses de 2012, 4.940 M$ un 22% MAS catitalizacion 185.800 M$
JP MORGAN CHASE resultados de los 9 primeros meses de 2012, 5.710 M$ UN 34$ MAS capitalizacion 159.900 M$
GOLDMAN SACHS resultados de los 9 primeros meses de 2012, 4.583M$ un 34% MAS capitalizacion 58.480 M$
CITIGROUP resultados de los 9 primeros meses de 2012, 6.349M$ un -34% MENOS capìtalizacion 104,160 M$
BANK OF AMERICA resultados de los 9 primeros meses de 2012, 2.493 M$ un 126% MAS capitalizacion 100,650 M$
El ganador por beneficio en 2012 primero CITIGROUP, JP MORGAN CHASE, WELLS FARGO GOLDMAN SACHS BANK OF AMERICA
El primero por capitalizacion bursátil WELLS FARGO, JP MORGAN CHASE, CITIGOUP BANK OF AMERICA GOLDMAN SACHS
Rentabilidad de la acción en el año 2012 primero BANK OF AMERICA 70% CITIGROUP 40%  JP  MORGAN CHASE 28,5% GOLDMAN SACHS 26% WELLS FARGO 22,4%
Mi cartera de 5 bancos de WALL STREET tiene una rentabilidad en 2012 del 34,5% MAS
QUIEN TE DA MAS #BATIRALIBEX35 Los datos están recogidos de fuentes financieras internacionales

jueves, 11 de octubre de 2012

THE 5 STRONGENT BANKS IN THE WORLD

BANK OF AMERICA - CITIGOUP - JP MORGAN CHASE - THE GOLDMAN SACHS - WELL FARGO


The world's largest banks, and the most powerful on Wall Street will no doubt now and 2015 - 2020 his tenacula be so great that one of them could cause the next crisis, over time these banks will get bigger and with more power in politics and economics on Wall Street and in Shanghai and Tokyo paices of interest having premium pot precious oil pharmaceutical industry and the most innovative technology in general and the latest economic and financial monetary policies of the United States of America interest rates as practiced mind the aggressive expansion plans of EDF called QE1 -2 -3 favor the American financial system certainly think almost returned U.S. government aid is only expand them towards paices tenacula of normal interests give a power struIN ggle to be the larger the more profitable the more dividends it distributes the healthier the market value has more than all this to see only time will tell. My portfolio of five Wall Street banks see on YOU TUBE are these five banks chosen from 01/01/2012 I have a return to date of more 30% 11/10/2012 how much you can get to revalue? until 2015 - 2020 who knows my prediction is that more than one will more than double its capitalisacion give him time to get over the medium and long are a great opportunity.BATIRALIBEX35

LOS 5 BANCOS MAS PODEROSOS DEL MUNDO

 BANK OF AMERICA - CITIGROUP - JP MORGAN CHASE - THE GOLDMAN SACHS - WELL FARGO

Los bancos mas Grande del mundo y los mas poderosos estarán en Wall Street sin lugar a dudas de aquí a 2015 - 2020 sus tenáculos serán tan Grandes que uno solo de ellos podría provocar la próxima crisis, con el tiempo estos bancos se harán mas Grandes  y con mas poder en política y economía en Wall Street  Shangai y Tokio y en paices de su interés que tengan petróleo matera prima  metales preciosos industria farmaceutica y los mas novedoso las tecnología en general lo ultimo y en lo económico y financiero las políticas monetaria de los Estados Unidos de América tipos de interés practica mente planos las tan agresiva expansión de la FED los llamados QE1 -2 -3   favorecen al sistema financiero Americano sin duda, creo que casi devueltas las ayudas del gobierno americano solo les queda expandir sus tenáculos hacia los paices de sus intereses normal que dará una lucha de poder por ser el mas grande el mas rentable el que mas dividendos reparte  el mas sano el que tenga mas valor bursátil todo esta por ver solo el tiempo lo dirá. Mi cartera de 5 BANCOS DE WALL STREET ver en YOU TUBE son estos cincos BANCOS elegidos desde 01/01/2012 tengo una rentabilidad a fecha de hoy 11/10/2012 del MAS 30% ¿cuanto se pueden llegar a revalorizar ? hasta 2015 - 2020 quien lo sabe mi predicción es que mas de uno llegara a mas que doblar su capitalisacion demos le tiempo para llegar a medio y largos son una gran oportunidad. BATIRALIBEX35

jueves, 4 de octubre de 2012

THE ELIXIR OF BERNANKE QE1- 2 -3

05/10/2012 since the Federal Reserve Bernanke opened the door versus the Q1 Q2 Q3 injection of money into the production system will say markets and the economy, with unemployment rates flat practiced mind to 8% growth and 2 or 2 , 5% of the U.S. population of 000 thousand debt is incomprehensible dramatic increases as the American stock exchanges from 2009 lows more than 100% speculation with cheap money tap open the federal Reserve have made income esplotar American Variable has no other explanation. not to pull the U.S. economy many rockets but their bags practiced mind to 5% of breathtaking highs rising stock market value of companies. Wall Street my portfolios earn an average of 25% of earnings in 2012 in virtual reality demonstrate my potential in the American stock! then do not be afraid! Wall Street reached record highs and there is less take a break from -10 or -15% but will remain bullish as the next year will be who knows? large sharks? economic expansion since 2009 that can last 5 or 6 years who knows how much they can raise Wall Street voices are heard when interest rates suvidas another rooster crowed and to top elections precidencia U.S. BAGS bullish year in summary my vision as an observer of market trends vicionario graphics and Wall Street values ​​would keep the party

EL ELIXIR DE BERNANKE LAS QE1-2-3

05/10/ 2012 desde que reserva federal versus Bernanke abrió las puertas de la Q1 Q2  Q3 la inyección de dinero en el sistema productivo diga se mercados y en la economía, con tipos practica mente planos paro al 8%  y crecimiento del 2 o 2,5% de la población americana deudas de miles de 000 es incomprensible las subidas tan espectacular de las bolsas americanas desde mínimos de 2009 mas de un 100% la  especulación del dinero barato junto con el grifo abierto de la reserva federal han hecho esplotar la renta variable americana no tiene otra esplicación. no esta la economía americana para tirar tantos cohetes pero sus bolsas practica mente a un 5% de máximos históricos impresionante la subida de valor bursátil de las Empresas. mis carteras de Wall Street ganan un promedio del 25% de ganancias en 2012 en realidad virtual demuestran mi potencial en las bolsas americanas  ! pues no tengan miedo ! Wall Street llegara a máximos históricos y hay se tomara un respiro del menos -10 o -15% pero seguirá siendo alcista los próximo años cuanto quien lo sabe serán los ? grandes tiburones ? una expansión económica desde 2009 que puede durar 5 o 6 años quien sabe hasta cuanto pueden subir Wall Street  cuando se escuchen voces de suvidas de tipos de interes otro gallo cantara y para colmo elecciones a la precidencia de los Estados Unidos años alcistas en BOLSAS en resumen mi visión como observador de los mercados vicionario de las tendencias de los graficos y valores diría de Wall Street que SIGA LA FIESTA 

sábado, 29 de septiembre de 2012

That sharks not take your savings

invest in securities such as easy as buying 1000 shares of TELEFONICA to 12, 80 and expected to rise to 13.50 and sell them now expect to lower or invest in other value that is the great dilemma usually we get into another value because is rising over a mistake purchase securities must determine the value that we will invest bullish or bearish, bullish VISCOFAN example is buying all media trends and moving averages over 200, 90, 60 the other 50 the Max rsi14 above 0 in monthly charts these trends are clearly bullish buy and expect earnings will not grow in a day a week a month there to endure until the monthly chart deteriorate to sell, buy buy SACYR example bassist value at 4 € and value continues to drop € 3.30 can still sell or hold down that will most likely if bassist and become long-term investors 2 or 3 years if you do not put stop loss at that value may never even reach the price that we have bought if you have money to spare you can buy a bass player and expect value within 2 to 4 years're rich because it has doubled or tripled in value we are in a great moment because there are many values ​​in our continuous market touched and sunken but that be aware that you do not need the money that you invest minimum purchase 2 or 3 values ​​do not invest all your money in a single value or as safe as you can ruin even disappear TERRA example my advice is to invest in medium to long values with monthly trends upward when all trends demonstrate it the rsi14 moving averages when the candles Max played with a tendency for us to beat the market but the market value is lower if the bull will have more chance of keeping the trend while we bought not lose patience psychology and work it is very important to be a big investor in the stock market and win. what is the problem that we like to buy and sell at any time we believe that we will win and we were wrong we win one and lose in 4 to 90% of investors lose in bag and not me is a statistic of the United States because WARREN Buffet is rich because he spends long COCA COLA example, MAC DONALD, APPLE winning bets that are long if you like to buy and sell every week invests half of your money in stocks and you hold bulls and half short play with stop will prevent you from experience will ruin FORTI example TERRA or the decision is yours this is only a tip from someone who has gone bankrupt twice saying goes that if you go bankrupt twice you get rich, but I do not know if it makes more Thanks for reading cautious will help

THE APPRENDICE GROPING BAG PART 2ª

When purchasing a value TELEFONICA example see if the trend is bullish or bearish trends in the values ​​of BAG IS VERY IMPORTANT monthly uptrends are playing in your favor moving averages RSI 200 90 60 far the MAX for me the most I do not look any more important example INDITEX bullish value for many years you will get great returns over the years we can not think of beating one day a week in a year if the value is bullish always have to be invested until the monthly chart deteriorate and lose the references that were investing with the loss of all the moving averages RSI least 50 loses the point if 0 and Max both lines also lost forever in line 0 monthly charts. BASSIST trends are always losing bets if we lose all such references before the value gets bullish to bearish and played with the danger of losing our money play with fire, BASSIST value can always follow up losing even 20% if the trend we prove it to find a floor at that value even 20 or 30 years ago in monthly charts will help you find a more reliable soil may even lose the ground and put in danger freefall would take years and years to recover our money and even lose everything. When my advice invest in stock market is half your money will invest in securities lie upward and keep the monthly chart does not deteriorate and if you like to buy and sell securities gains bearish when you you put a stop loss but you always lameness fingers and always lose your money over and over again a statistic of the United States says that 90% of investors lose their money choose the worst way to invest and by investing in securities bearish if we choose to invest in securities bullish but we play to buy a week and sell to others always have a better chance if you can not stop because getting your money as it is very important data BULLISH value when investing. investment in stock market and other financial products is a risk we all owe to plunge the time to put our savings I'm just a VISIONARY OF THE BAG TREND GRAPHICS am not an economist nor am self-taught technical analyst only my portfolios BATEN all Indices from 2010 clubs in BAGS serve you shall dig but never learn for many years you have on the markets hope you have served all these comments just my EXPERIENCE IN MARKET THANK YOU FOR READING

THE APPRENTICE GROPING BAG PART 1ª

 
POUCH gives you more joy sticks for experiences are not aware that we play our money and most importantly our life savings but if we consent to invest our savings product must tell us before we risk or if there is peace in the investment market for many of the current global financial situation of financial meltdown, we have so many questions that you can not trust anything or anyone you're the one that you have to hold on where you invest your savings of a lifetime to have decent retirement not ask more for the money we hold financial products are always risk no Teda euro cents recommendations do not trust the press radio television from a friend or a family of bankers and other individuals who advise buying recommending a particular product that you will win 10% of such profit in one year all hypocritical everyone is minimum risk for you to imagine you have to bear in mind that you can mess up and you'll never have the money you trusted profitable and when you realize you have no returns or your savings, which is the most serious that your money has fought both those years ago and I do not want to have DESAPARESIDO advise anyone to buy or sell any way to invest your money but my experience you can help me I do not trust anything or anyone just me manage my money if I lose, I'm the one to blame for my downfall? invest where If I have not learned before and I know what consequences may result, I the only investment is the bag I do also have investment funds BAG 25% or 50% investment in liquids having BAG when my advice is to sell at least two securities or funds that invest EXAMPLE values, SANTANDER BBVA TELEFONICA REPSOL IBERDROLA great values ​​in my 20 years in the markets but have not sunk in to the most powerful BAG can disappear LHEMAN example BROTHERS MARKETS 70 years do not trust neither the largest or 2 with 2 values ​​guarantees that funds can live out of a panic and bankruptcies worldwide as we have lived from 2007 to 2011 from the collapse of the world financial system in crisis, there will always BAG indices or values ​​can not rise forever. EMIS PART TWO

martes, 4 de septiembre de 2012

10 VALORES PARA BATIR A WARREN BUFFETT

1 SEPTIEMBRE -  31 DICIEMBRE 2012

APPLE   663,87 - 666,80  +0,44%
3M COMPANY  91,76 - 87,60  +%
CELGENE  70,83 - 79,56  +12,35%
CITIGROEP  29,71 - 34,96  +17,91%
EXXON MOBIL  87,20 - 92,22  +5,76% 
GOOGLE  681,68 - 768,05  +12,67%
PROCTER&GAMBLE  66,98 - 69,38  +3,71%
QUALCONMC  61,20 - 62,65  +2,37%
TAIWAN SEMI.  14,70 - 16,16  +9,93%
TIME WARNER  41,45 - 45,83  +10,49%

ACTUALIZADO : 05/10/2012

RENTABILIDAD + 6,68%

RENTABILIDAD S&P500 SEPT:  4,00%

lunes, 3 de septiembre de 2012

20 BANCOS PARA GANAR MUCHA PASTA 07/10/2011

BANK OF AMERICA  6,26 - 9,77  +62,62%
BANKINTER  4,16 - 2,97  -29,52% 
BARCLAY  167,00 - 253,50  +62,36%
BBVA  6,34 - 6,46  +1,89%
BNP PARIBA  24,95 - 42,60  +33,00%
CITIGROUP  26,02 - 35,77  +43,24%
CREDID AGRICOL  5,43 - 5,80  +7,53%
CREDID SUISE 21,52 - 21,52  0,00%
DEUCHES BANK  27,20 - 33,31  +24,28%
HSBS HOLDINGS  509,00 - 622,90  +30,89%
ING GROEP  5,65 - 6.94  +22,80%
JP MORGAN CHASE  32,28 - 40,73  +31,47%
LLOYDS  36,00 - 45,45  +38,55% 
MORGAN STANLEY  15,16 - 16,25  +11,69%
ROYAL BANK OF SCOTLAND  240,00 - 293,98  +31,01%
SANTANDER  6,26 - 5,81  -7,19%
SOCIETE GENERALE  20,69 - 27,14  +31,15%
UBS  8,50 - 14,60  +31,84%
THE GOLDMAN SACHS  97,93 - 117,70  +25,23%
WELL FARGO  25,37 - 32,59  +33,85%

FECHA ACTUAL : 23/11/2012

RENTABILIDAD : +26,94%

VER CARTERA EN YOU TUBE

sábado, 14 de julio de 2012

BATIRAL SP500 2010

3M COMPANY  82,67 - 94,43 +14,23%
ABBOT LAB.  54  - 70,78  +31,07% 
ALCOA  16,21 - 9,07  -43,73%
APPLE  211,34 - 666,80  +215,51%
BAXTER  58,68 -  61,75  +5,25%
BIOGEN  53,70 - 152,57  +184,12%
BRISTOL MYER  25,25 - 33,09  +33,43%
BROADCOM  31,47 - 35,39  +12,46%
ROBINSON  WORL.  58,63 - 59,90  +8,72%
CA INC  22,46 - 25,50  +15,27%
CIGMA  35,27 - 36,58  +3,71%
CISCO  SYS.  23,94 - 18,90  -21,07%
CITIGROUP  33,31 - 34,96  +16,15%
CITRIX SYSTENS   41,60 - 74,66  +79,45% 
COCA COLA  28,65  -  38,33  +33,79%
ENC COR.  17,47 - 27,19  +55,64% 
GOOGLE  620 - 7,68  -23,88%
JOHNSON&JOHNSON 64,41 - 69,27  +7,59%
JP MORGAN CHASE  41,89 - 41,82  -0,17%
MARVEL TEC. 20,75 - 9,37  -54,87%
MCDONALD  62,44 - 91,03  +45,79%
ORACLE  24,55 - 31,90  +29,92%
QUALCOMM  46,26 - 62,85  +35,43%
TEVA PHARMA.  56,10 - 38,10  -32,09%
TEXAS INSTR.  26,06 - 32,51  +24,73%
THE GOLDMAN SACHS  168,54 - 119,90  -28,86%
VERTEX PHARMA.  42,85 - 59,39  +38,79%
WAL MART.  53,45 - 74,72  +38,79%

FECHA ACTUAL : 05/10/2012

RENTABILIDAD TOTAL : +40,59%

PORCENTAJE DE ACIERTO :  78,6%

SP500 RENTABILIDAD : +29,5%

RENTABILIDAD ACUMULADA DESDE  2010

VER CARTERA EN YOU TUBE


BATIRAL SP500 2011


ADOBE SYSTENS  30,70 - 32,68  +6,17%
APPLE  322,56 - 666,80 +106,72%
CITIGROUP  47,30 - 34,96  -26,09%
CORNING  19,32 - 13,40  -30,64%
FEDEX  93.00 - 86,55  -6,97%
GENERAL DYNAM.  70,96 - 66,82  -5,83%
GENERAL ELEC.  18,29 - 22,95  +25,48%
HEWLER PACK.  42,10 - 14,94  -64,91%
INTEL  21,03 - 22,47  +6,82%
JHONSON&JHON.  61,85 - 69,27  +12,00%
JP MORGAN CH.  42,42 - 41,82  -1,41%
LOWES  25,08 - 30,95  +23,41%
LSI LOGIC  5,99 - 6,99  +16,69%
MARVEL TEC.  18,55 - 9,37  -49,51%
MICROSOFT  27,91 - 30,03  +7,60%
MILLILCOM  95,60 - 110,18  +15,25%
NVIDIA  15,40 - 13,62  -11,56%
PEPCICO  65,33  70,83  + 8,48%
PHIZER  17,58 - 25,35  +44,77%
PROCTER&GAMBLE  64,33 - 69,38  +7,85% 
STAPLES 22,77 - 11,53  -49,36%
SYMANTE  16,74 - 18,01  +7,79%
TEVA FHARMA  52,13 - 38,10  -28,91%
THE GOLDMAN SH.  168,16 - 119,90  -28,70%
UNISYS  25,89 - 21,60  -16,57%
VERTER PHARMA  35,08 - 59,39  +69,54%
WAL MART  53,93 - 74,72  +38,55%
WELLS FARGO  30,99 - 35,97  +16,06%
WESTER DIGITAL  33,90 - 31,39  -7,40%
YAHOO  16,63 - 16,27  -2,16%

FECHA ACTUALIZADO :  05/10/2012

RENTABILIDAD TOTAL : 19,57%

PORCENTAJE DE ACIERTO : 53,3%

SP500 RENTABILIDAD : +15,04%

RENTABILIDAD ACUMULADA DESDE 2011

VER CARTERA EN YOU TUBE




lunes, 23 de abril de 2012

BATIRAL S&P500 2012

ABBOTT LABO  56,23 - 65,50  +16,49%
ALCOA  8,65 - 8,57  -0,92%
AMERICAN EXPRES  47,17 - 55,97  +18,66%
ANALOG DEVIRCE  35,78 - 40,40  +12,91%
APPLE  405,00 - 5,95  +46,99%
AT&T  30,24 - 34,59  +14,38%
BANK OF AME  5,56 - 9,32  +67,73%
BOEING  73,35 - 70,44  -3,97%
CITIGROUP  26,31 - 37,39  +42,11%
COCA COLA  34,99 - 37,18  +6,12%
COMCAST  23,70 - 37,53  +58,33%
DISNEY WAL  37,50 - 49,12  +30,99%
DU PONT  45,78 - 44,52  -2,75%
EMC  21,54 - 24,44  +13,37%
EXXON MOBIL  84,76 - 91,45  +7,89%
FEDER CORP  83,51 - 91,99  +10,15%
GENERAL ELEC  17,91 - 21,06  +17,59%
HOME DEPOT  42,04 - 61,35   +46,00%
HONEYWELL  54,35 - 61,24  +12,68%
JOHNSON & JOHNSON  65,56 - 70,82  +8,08%
JP MONGAN CHASE  33,26 - 41,68  +25,32%
MERK & COR  37,70 - 45,63  +19,62%
PEPSICO  66,35 - 69,24  +4,66%
PROCTER & GAMBLE  66,70 - 69,36  +3,99%
QUAlCOMM  54,70 - 58,61  +7,15%
TAIWAN SEMI  12,90 - 15,82  +22,64%
TIME WARNER  36,14 - 45,34  +25,44%
TYCO INTER  23,35 - 26,87  +15,07%
WAL MART  59,76 - 75,02  +23,49%
WELLS FARGO  27,56 - 33,69 +22,24%


FECHA ACTUAL : 31/10/2012

RENTABILIDAD ANUAL:  22,80%

PORCENTAGE DE ACIERTO :  90,00%

S&P RENTABILIDAD ANUAL :  11,36%

VER CARTERA EN YOU TUBE

domingo, 15 de abril de 2012

CARTERAS DE WALL STREET

BATIRAL S&P 500  2010 - 2012  + 28,29% RENT. desde 2010
BATIRAL S&P 500  2011 - 2012 +  9,70% RENT. desde 2010
BATIRAL S&P 500  2012  + 18,88%

BATIRAL NASDAQ 100  2012  +16,04%

5 BANCOS DE WALL STREET 2012 - 2015  +39,85%

10 VALORES TECNOLOGICOS DE WALL STREET  +18,39%

10 VALORES PARA BATIR A WARREN BUFFET  S - D  -4,75%

S&P 500  2010  + 25,9%
S&P 500  2011  + 12,2%
S&P 500  2012  + 12,98%

FECHA ACTUAL   21/12/2012

RENTABILIDAD ACUMULADA

lunes, 9 de abril de 2012

BATIRAL S&P500 2010 40,50% RENTABILIDAD

BATIRAL S&P 500 2011

BATIRAL NASDAQ100 2012

  1. 3M COMPANY 81.73 - 92,90  +12,92%   
  2. AMERCAN EXPR. 47,17 - 55,85  +18,40
  3. AMGEM 64,21 - 82,73  +28,84%
  4. APOLO GROUP 53,07 - 28,61  -46,89%
  5. APPLE 405,00 - 621,70  +53,51
  6. AT&T COMP. 30,24 - 37,49  +23.97%
  7. CELGENE 67,60 - 71,94  +6,42%
  8. CITRIX SYSTENS 60,72 - 76,26  +25,59%
  9. COMCAST 23,71 - 34,73  +46,48%
  10. DOW CHERMICAL 28,76 - 29,73  +3,37%
  11. EXPEDIA 29,02 - 54,41 +87,59%                
  12. FICERV 58,74 - 69,88 +18,96%
  13. GOOGLE 646,00 - 642  -0,62%
  14. HENRY SCHEIN 64,43 - 77,16  +19,76% 
  15. INTEL 24,25 - 26,88  +10,85%
  16. LIBERTY MEDIA 16,21 - 17,52  +8,08%
  17. LINEAR TECNO. 30,03 - 33,13  +10,32%
  18. MAXIN INTE. 26,04 - 28,50  +9,49%
  19. MICROCHIP TEN 36,63 - 35,05  -4,21%
  20. MICROSOF 25,96 - 30,31  +16,96%
  21. ORACLE 25,65 - 31,61  +23,24%
  22. QUALCOMM 54,70 - 61,98  +13,31%
  23. SANDISK COR. 49,21 - 41,41  -15,85%
  24. SAEGATE TEC. 16,40 - 34,18  +108,41% 
  25. SIGMA 62,46 - 72,07  +15,39%
  26. TEXAS INTRU, 29,11 - 32,51  +11,66%
  27. UNITED TEC. 73,09 - 77,89  +6,57%
  28. VERIGINS  35,72 - 46,76  +30,91%
  29. VERIZON  40,12 - 44,63  +11,17% 
  30. YAHOO  16,18 - 15,15  -6,37%


FECHA ACTUALIZADO : 10/08/2012

RENTAVILIDAD TOTAL : +17,16%

RENTAVILIDAD NASDAQ 100 : +17,73%

PORCENTAJE DE ACIERTO ; 83,30%




sábado, 7 de abril de 2012

WALL STREET 10 VALORES TECNOLOGICOS 2012


ANGEN  64,31 - 87,40 +35,50%
APPLE  405,00 - 520,17  +28,44%
AT&T C.  30,24 - 33,74  +11,57%
COMCAST  23,71 - 37,36  +57,57%
GOOGLE  646,00 - 709,50  +9,63%
INTEL  24,25 - 20,64  -14,69%
QUALCOMN  54,70 - 61,90 +13,16%
UNITED TEC  73,09 - 82,24  +12,52%
SAEGATE  16,40 - 30,29  +84,70%
YAHOO  16,18 - 19,68 +21,46%


 
ACTUALIZADO : 2112/2012

RENTABILIDAD ANUAL : +18,39%

PORCENTAJE DE ACIERTO : 90%

 RENTABILIDAD ANUAL NASDAQ 100 : +16,27%

5 BANCOS MAGNIFICOS DE WALL STREET 2012 - 2015

BANK OF AMERICA  5,54 - 17,68  +155%%
CITIGROUP  26,61 - 56,00  +89%
JP MORGAN CH  33,26 - 62,70  +72%
THE GOLDMAN S.  90,43 - 196,00  +82%
WELLS FARG0  27,56 - 55  +75%




FECHA ACTUAL : 05/12/14



RENTABILIDAD TOTAL :  +94%



DOW J 2012 -2015 :  +42%
SP 500 2012 - 2015 :  +54%

BATIRAL SP500 2010 - 01 - 01 - 2012

BATIRAL SP500 2010 - 09 - 01 - 12

BATIRAL SP500 2011

BATIRAL SP500 2010