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Register for free to join our community of investors and share your ideas. You will also get access to streaming quotes, interactive charts, trades, portfolio, live options flow and more tools.
Buy 1,000 shares of SCKT at $2.80 for the SwingTrade Portfolio.
The SwingTrade Portfolio is up 546.6% since inception and 5.8% YTD.
http://investorshub.advfn.com/SwingTrade-Member-Forum-1781/
SWINGTRADE PORTFOLIO 1/27/2015 Update: +546.6% Since Oct. 1 2009 Inception
The SwingTrade Portfolio is up 5.8% YTD and hit a new all-time high today. GLGI was sold and SCKT was purchased since the last update.
Top Return for Closed Positions
Stocks Options
1. PFHO +3,858.8% 1. PMT Calls +145.5%
2. BIOYF/RX.V +576.7% 2. AMLN Calls +29.2%
3. ASRG +351.4%
4. PBSV +310.3%
5. ROIAK +242.9%
Symbol Shares Price Value Return
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ETCIA 4000 $0.065 $260.00 -67.5%
MUEL 50 $46.75 $2,337.50 22.0%
MUEL 50 $46.75 $2,337.50 46.1%
PFHO 50 $43.50 $2,175.00 74.0%
PFHO 150 $43.50 $6,525.00 5,017.7%
SCKT 1000 $3.11 $3,110.00 25.9%
VTSI 50000 $0.172 $8,600.00 183.4%
Cash $39,314.49
------------------------------------------------------
Total/Return since 10/01/09 $64,659.49 546.6%*
* Note that return includes profit/loss from transactions below.
Date Type Symbol Shares Price Amount Cash Return
---------------------------------------------------------------------------------
01/16/2015 Sell GLGI 10000 $0.325 $3,250.00 $39,314.49 -22.6%
01/05/2015 Buy SCKT 1000 $2.47 -$2,470.00 $36,064.49
12/31/2014 Sell ALJJ 500 $4.40 $2,200.00 $38,534.49 109.5%
12/31/2014 Sell CCNI 5000 $0.74 $3,700.00 $36,334.49 89.7%
12/31/2014 Sell CCNI 5000 $0.74 $3,700.00 $32,634.49 80.5%
12/23/2014 Sell SKAS 5000 $0.083 $415.00 $28,934.49 -7.8%
11/05/2014 Sell NATH 100 $72.228 $7,222.80 $28,519.49 31.2%
09/18/2014 Buy VTSI 50000 $0.0607 -$3.035.00 $21,296.69
08/15/2014 Sell CSTI 200 $13.80 $2,760.00 $24,331.69 38.0%
08/11/2014 Sell ALJJ 1500 $3.00 $4,500.00 $21,571.69 42.9%
08/11/2014 Buy NATH 100 $55.07 -$5,507.00 $17,071.69
05/16/2014 Sell CSTI 200 $10.60 $2,120.00 $22,578.69 6.0%
05/15/2014 Buy ALJJ 2000 $2.10 -$4,200.00 $20,458.69
05/14/2014 Sell TBTC 1500 $0.93 $1,395.00 $24,658.69 16.3%
05/06/2014 Sell CTEI 4500 $0.68 $3,060.00 $23,263.69 33.3%
05/06/2014 Sell CTEI 3500 $0.6899 $2,414.65 $20,203.69 35.3%
04/30/2014 Buy CTEI 8000 $0.51 $4,080.00 $17,789.04
03/24/2014 Sell BIOYF/RX.V 500 $5.2716 $2,635.80 $21,869.04 50.9%
03/24/2014 Buy MUEL 50 $38.31 -$1,915.50 $19,233.24
03/20/2014 Buy CCNI 5000 $0.41 -$2,050.00 $21,148.74
03/10/2014 Sell JBII 100 $0.155 $15.50 $23,198.74 -96.2%
03/10/2014 Sell JBII 200 $0.155 $31.00 $23,183.24 -79.9%
03/10/2014 Sell JBII 200 $0.155 $31.00 $23,152.24 -78.8%
03/10/2014 Sell JBII 200 $0.155 $31.00 $23,121.24 -84.3%
03/10/2014 Sell JBII 100 $0.155 $15.50 $23,090.24 -97.3%
03/10/2014 Sell JBII 300 $0.155 $46.50 $23,074.74 -85.9%
03/07/2014 Buy GLGI 10000 $0.42 -$4,200.00 $23,028.24
02/19/2014 Sell FTLF 1500 $2.75 $4,125.00 $27,228.24 32.9%
02/05/2014 Sell VTSI 20000 $0.058 $1,160.00 $23,103.24 16.0%
01/28/2014 Buy BIOYF/RX.V 500 $3.4930 -$1,746.50 $21,943.24
01/18/2014 Sell CLSN_140118C0500 100 $0.00 $0.00 $23,689.74 -100.0%
01/17/2014 Buy CSTI 400 $10.00 -$4,000.00 $23,689.74
01/15/2014 Buy FTLF 1500 $2.07 -$3,105.00 $27,689.74
01/10/2014 Buy PFHO 50 $25.00 -$1,250.00 $30,794.74
01/09/2014 Sell ITSI 500 $1.24 $620.00 $32,044.74 30.5%
01/09/2014 Sell ITSI 500 $1.24 $620.00 $31,424.74 14.8%
01/09/2014 Sell ITSI 500 $1.24 $620.00 $30,804.74 11.7%
01/09/2014 Sell ITSI 500 $1.24 $620.00 $30,184.74 18.1%
01/09/2014 Sell ITSI 1000 $1.24 $1,240.00 $29,564.74 22.8%
01/07/2104 Sell IHCH 5000 $0.071 $355.00 $28,324.74 -40.8%
01/07/2014 Sell IHCH 10000 $0.071 $710.00 $27,969.74 1.4%
01/07/2014 Sell IHCH 2500 $0.071 $177.50 $27,259.74 -5.3%
01/07/2014 Sell IHCH 2500 $0.071 $177.50 $27,082.24 -12.3%
01/06/2014 Sell OPRX 750 $1.83 $1,372.50 $26,904.74 1.1%
12/24/2013 Sell CDOC 5000 $0.20 $1,000.00 $25,532.24 77.0%
12/16/2013 Sell INXSF / INX.V 5000 $0.2266 $1,133.00 $24,532.24 49.7%
12/16/2013 Sell INXSF / INX.V 4000 $0.2266 $906.40 $23,399.24 4.3%
12/16/2013 Sell PFHO 100 $33.65 $3,365.00 $22,492.84 3858.8%
12/16/2013 Sell PFHO 50 $33.65 $1,682.50 $19,127.84 280.2%
11/27/2013 Buy TBTC 1500 $0.80 -$1,200.00 $17,445.34
11/25/2013 Buy VTSI 20000 $0.05 -$1,000.00 $18,645.34
11/06/2013 Buy CCNI 5000 $0.39 -$1,950.00 $19,645.34
11/06/2013 Sell BIOYF/RX.V 500 $3.7436 $1,871.80 $21,595.34 576.7%
11/04/2013 Buy MUEL 50 $32.00 -$1,600.00 $19,723.54
10/30/2013 Sell BIOYF/RX.V 500 $3.2994 $1,649.70 $21,323.54 222.5%
10/28/2013 Sell BIOYF/RX.V 500 $2.9782 $1.489.10 $19,673.84 174.9%
10/21/2013 Sell PBSV 1000 $1.60 $1,600.00 $18,184.74 310.3%
10/21/2013 Sell PBSV 500 $1.60 $800.00 $16,584.74 86.0%
10/21/2013 Sell UPG 300 $1.55 $465.00 $15,784.74 -62.6%
10/18/2013 Sell BIOYF/RX.V 500 $2.6243 $1,312.15 $15,319.74 22.2%
09/19/2013 Buy BIOYF/RX.V 500 $2.1484 -$1,074.20 $14,007.59
09/05/2013 Sell BIOYF/RX.V 500 $2.5185 $1,259.25 $15,081.79 355.3%
09/05/2013 Sell BIOYF/RX.V 1000 $2.4372 $2,437.20 $13,822.54 125.0%
07/18/2013 Buy OPRX 750 $1.81 -$1,357.50 $11,385.34
07/18/2013 Buy PFHO 50 $8.85 -$442.50 $12,742.84
07/12/2013 Buy IHCH 5000 $0.12 -$600.00 $13,185.34
07/11/2013 Buy ITSI 500 $0.95 -$475.00 $13,785.34
07/11/2013 Sell LBMH 750 $1.68 $1,260.00 $14,260.34 72.7%
07/10/2013 Sell LBMH 750 $1.56 $1,170.00 $13,000.34 69.5%
07/03/2013 Divi LBMH 1500 $0.03 $45.00 $11,830.34
07/02/2013 Sell BNLB 5000 $0.155 $775.00 $11,785.34 49.8%
07/02/2013 Sell BNLB 5000 $0.155 $775.00 $11.010.34 49.8%
06/18/2013 Sell NROM 1000 $1.09 $1,090.00 $10,235.34 62.7%
06/18/2013 Buy BNLB 10000 $0.1035 -$1,035.00 $9,145.34
06/14/2013 Buy LBMH 750 $0.99 -$742.50 $10,180.34
05/30/2013 Sell NROM 500 $1.03 $515.00 $10,922.84 28.8%
05/16/2013 Sell MKTY 4000 $0.43 $1,720.00 $10,407.84 34.4%
05/14/2013 Buy BIOYF/RX.V 1000 $1.0833 -$1,083.30 $8,687.84
05/06/2013 Divi LBMH 750 $0.02 $15.00 $9,771.14
05/03/2013 Sell PAOS 2500 $0.25 $625.00 $9,756.14 -24.2%
05/03/2013 Buy NROM 500 $0.80 -$400.00 $9,131.14
04/23/2013 Buy ITSI 500 $1.08 -$540.00 $9,531.14
04/19/2013 Buy BIOYF/RX.V 1000 $1.0232 -$1,023.20 $10,071.14
03/23/2013 Buy MKTY 4000 $0.32 -$1,280.00 $11,094.34
03/28/2013 Sell BIOYF/RX.V 1500 $1.3067 $1,960.05 $12,374.34 136.2%
03/20/2013 Sell PFHO 50 $7.70 $385.00 $10,414.29 805.9%
03/20/2013 Sell MIGL 400 $1.46 $584.00 $10,029.29 25.9%
03/20/2013 Sell MIGL 1100 $1.46 $1,606.00 $9,445.29 5.9%
03/18/2013 Buy ITSI 500 $1.11 -$555.00 $7,839.29
03/18/2013 Sell NROM 1000 $0.95 $950.00 $8,394.29 34.5%
03/14/2013 Buy MIGL 1100 $1.41 -$1,551.00 $7,444.29
03/14/2013 Buy LBMH 750 $0.95 -$712.50 $8,995.29
03/14/2013 Buy ITSI 500 $1.05 -$525.00 $9,707.79
03/05/2013 Sell MSEH 3000 $0.154 $462.00 $10,232.79 -40.8%
03/01/2013 Sell PSIX 75 $21.40 $1,605.00 $9,770.79 25.1%
02/27/2013 Sell BIOYF/RX.V 500 $1.3488 $674.40 $8,165.79 143.8%
02/25/2013 Sell CMKG 800 $1.30 $1,040.00 $7,491.39 30.0%
02/20/2013 Sell SPIN 1500 $0.45 $675.00 $6,451.39 -40.8%
02/20/2013 Sell SPIN 500 $0.45 $225.00 $5,776.39 -64.0%
02/19/2013 Buy ETCIA 4000 $0.20 $800.00 $5,551.39
02/14/2013 Sell BNLB 5000 $0.122 $610.00 $6,351.39 35.6%
02/14/2013 Sell BNLB 5000 $0.1116 $558.00 $5,741.39 24.0%
02/06/2013 Buy CMKG 800 $1.00 -$800.00 $5,183.39
02/05/2013 Buy CDOC 5000 $0.113 -$565.00 $5,983.39
02/01/2013 Buy PBSV 500 $0.86 -$430.00 $6,548.39
01/28/2013 Sell PSIX 25 $19.95 $498.75 $6,978.39 16.7%
01/28/2013 Buy PAOS 2500 $0.33 -$825.00 $6.479.64
01/23/2013 Buy BNLB 10000 $0.09 -$900.00 $7,304.64
01/23/2013 Buy ITSI 1000 $1.01 -$1,010.00 $8,204.64
01/23/2013 Sell ITSI 500 $1.58 $790.00 $9,214.64 143.1%
01/23/2013 Sell ITSI 500 $1.19 $595.00 $8,424.64 83.1%
01/16/2013 Buy ITSI 1000 $0.65 -$650.00 $7,829.64
01/11/2013 Sell GV 500 $2.10 $1,050.00 $8,479.64 11.1%
01/07/2013 Buy CLSN_140118C0500 100 $4.50 -$450.00 $7,429.64
12/20/2012 Buy IHCH 2500 $0.075 -$187.50 $7,879.64
12/20/2012 Buy IHCH 2500 $0.081 -$202.50 $8,067.14
12/20/2012 Buy NROM 1000 $0.67 -$670.00 $8,269.64
12/03/2012 Buy GV 500 $1.89 -$945.00 $8,939.64
11/28/2012 Sell SODA 20 $37.68 $753.60 $9,884.64 2.6%
11/14/2012 Sell FFEX 800 $1.63 $1,304.00 $9,131.04 1.2%
10/18/2012 Sell NHTC 800 $1.29 $1,032.00 $7,827.04 -14.0%
10/15/2012 Sell JOEZ 800 $1.23 $984.00 $6,795.04 5.1%
10/12/2012 Sell LDRXF / LEA.V 1000 $0.431 $431.10 $5,811.04 -63.5%
10/12/2012 Sell COBR 200 $5.20 $1,040.00 $5,379.94 16.9%
10/11/2012 Buy JOEZ 800 $1.17 -$936.00 $4,339.94
09/26/2012 Sell BUKS 2000 $0.295 $590.00 $5,275.94 -7.8%
09/07/2012 Buy NROM 1000 $0.7065 -$706.50 $4,685.94
08/27/2012 Sell AAPL 1 $674.47 $674.47 $5,392.44 12.4%
08/16/2012 Divi AAPL 1 $2.65 $2.65 $4,717.97
08/15/2012 Sell VTNR 500 $1.88 $940.00 $4,715.32 -6.0%
08/13/2012 Buy IHCH 10000 $0.07 -$700.00 $3,775.32
08/10/2012 Buy MIGL 400 $1.16 -$464.00 $4,475.32
08/09/2012 Buy FFEX 800 $1.61 -$1,288.00 $4,939.32
07/31/2012 Sell TPCFF / TLA.V 1500 $0.7075 $1,061.25 $6,227.32 61.7%
07/30/2012 Buy BUKS 2000 $0.32 -$640.00 $5,166.07
07/27/2012 Sell MIGL 750 $1.80 $1,350.00 $5,806.07 168.7%
07/27/2012 Buy COBR 200 $4.45 -$890.00 $4,456.07
07/17/2012 Buy NHTC 800 $1.50 -$1,200.00 $5,346.07
07/11/2012 Buy SODA 20 $36.72 -$734.40 $6,546.07
07/06/2012 Sell ITSI 1000 $0.50 $500.00 $7,280.47 56.3%
07/02/2012 Sell AMLN_0817C23.0 100 $7.75 $775.00 $6,780.47 29.2%
06/27/2012 Buy AMLN_0817C23.0 100 $6.00 -$600.00 $6,005.47
06/22/2012 Sell GV 250 $2.20 $550.00 $6,605.47 48.6%
06/19/2012 Sell GV 250 $2.38 $595.00 $6,055.47 60.8%
06/11/2012 Sell GV 250 $2.28 $570.00 $5,460.47 67.6%
06/11/2012 Sell TPCS 1500 $0.629 $943.50 $4,890.47 -52.7%
06/04/2012 Sell MIGL 750 $0.99 $742.50 $3,946.97 47.8%
05/18/2012 Sell TPCFF / TLA.V 1500 $0.6276 $941.40 $3,204.47 43.5%
05/17/2012 Buy GV 250 $1.36 -$340.00 $2,263.07
05/11/2012 Buy GV 500 $1.48 -$740.00 $2,603.07
05/07/2012 Sell ASTC 800 $1.08 $864.00 $3,343.07 8.0%
05/02/2012 Buy MIGL 1500 $0.67 -$1,005.00 $2,479.07
04/24/2012 Buy PSIX 100 $17.10 -$1,710.00 $3,484.27
04/02/2012 Sell SGRP 500 $1.341 $670.50 $5,194.27 9.9%
03/27/2012 Sell KSW 200 $3.9199 $783.98 $4,523.77 15.6%
03/27/2012 Sell KSW 200 $3.9199 $783.98 $3,739.79 4.5%
03/26/2012 Buy MSEH 3000 $0.26 -$780.00 $2,955.81
03/22/2012 Buy AAPL 1 $602.50 -$602.50 $3,735.81
03/22/2012 Buy VTNR 500 $2.00 -$1,000.00 $4,338.31
03/20/2012 Buy TPCFF / TLA.V 3000 $0.4375 -$1,312.50 $5,338.31
03/07/2012 Buy SGRP 500 $1.22 -$610.00 $6,650.81
03/01/2012 Buy KSW 200 $3.751 -$750.20 $7,260.81
03/01/2012 Sell SNKI 50 $9.95 $497.50 $8,011.01 87.7%
02/27/2012 Sell BMRA 1000 $0.73 $730.00 $7,513.51 25.9%
02/17/2012 Buy BIOYF/RX.V 3000 $0.5532 -$1,659.60 $6,783.51
02/13/2012 Sell AXST 3000 $0.41 $1,230.00 $8,443.11 70.8%
02/08/2012 Sell PMT_0421C17.5 400 $1.35 $540.00 $7,213.11 145.5%
02/03/2012 Buy KSW 200 $3.39 -$678.00 $6,673.11
02/03/2012 Sell SNKI 50 $9.80 $490.00 $7,351.11 84.9%
02/01/2012 Buy BMRA 1000 $0.58 -$580.00 $6,861.11
01/31/2012 Sell PBSV 1000 $0.73 $730.00 $7,441.11 87.2%
01/31/2012 Buy PMT_0421C175 400 $0.55 -$220.00 $6,711.11
01/31/2012 Sell IPMN 600 $0.401 $240.60 $6,931.11 -71.8%
01/31/2012 Sell IPMN 200 $0.401 $80.20 $6,690.51 -60.7%
01/27/2012 Sell ASTC 400 $0.86 $344.00 $6,610.31 19.4%
01/13/2012 Sell OBCI 400 $2.231 $892.40 $6,266.31 11.5%
01/11/2012 Sell IBAL 200 $1.54 $308.00 $5,373.91 126.5%
01/09/2012 Sell TESS 100 $15.15 $1,515.00 $5,065.91 31.9%
01/04/2012 Sell IBAL 200 $1.39 $278.00 $3,550.91 104.4%
01/04/2012 Buy ITSI 1000 $0.32 -$320.00 $3,272.91
12/30/2011 Buy OBCI 400 $2.0001 -$800.04 $3,592.91
12/30/2011 Sell IBAL 600 $1.40 $840.00 $4,392.95 105.9%
12/27/2011 Sell GAXC 1000 $0.65 $650.00 $3,552.95 -14.5%
12/16/2011 Sell IPMN 400 $0.385 $154.00 $2,902.95 -62.3%
12/16/2011 Sell IPMN 600 $0.385 $231.00 $2,748.95 -33.6%
12/07/2011 Buy IPMN 600 $0.58 -$348.00 $2,517.95
12/07/2011 Buy PFHO 300 $0.85 -$255.00 $2,865.95
11/16/2011 Divi TESS 100 $0.15 $15.00 $3,120.95
11/01/2011 Buy AXST 3000 $0.24 -$720.00 $3,105.95
10/03/2011 Sell FONR 300 $1.63 $489.00 $3,825.95 -28.4%
09/16/2011 Buy TPCS 1500 $1.20 -$1,800.00 $3,336.95
09/16/2011 Buy IPMN 600 $1.02 -$612.00 $5,136.95
09/16/2011 Buy ASTC 400 $0.72 -$288.00 $5,748.95
08/22/2011 Sell EKCS 2000 $0.19 $380.00 $6,036.95 -38.7%
08/19/2011 Buy SPIN 500 $1.25 -$625.00 $5,656.95
08/18/2011 Divi TESS 100 $0.15 $15.00 $6,281.95
08/18/2011 Sell AUTO 1,500 $0.55 $825.00 $6,266.95 -11.3%
08/18/2011 Sell DTRX 1,500 $10.00 $1,500.00 $5,441.95 14.9%
08/12/2011 Sell KTCC 100 $3.80 $380.00 $3,941.95 -32.5%
08/12/2011 Sell KTCC 100 $3.80 $380.00 $3,561.95 -29.4%
08/04/2011 Sell LEE 700 $0.75 $525.00 $3,181.95 -29.9%
07/29/2011 Sell BUKS 1,000 $0.661 $661.00 $2,656.95 50.2%
07/08/2011 Buy SKAS 5,000 $0.09 -$450.00 $1,995.95
07/01/2011 Sell OBCI 300 $3.6499 $1,094.97 $2,445.95 27.2%
06/28/2011 Sell FKWL 400 $2.52 $1,008.00 $1,350.98 -3.1%
06/15/2011 Buy JBII 100 $4.05 -$405.00 $342.98
06/15/2011 Buy IPMN 600 $1.42 -$852.00 $747.98
06/15/2011 Buy PBSV 2000 $0.39 -$780.00 $1,599.98
05/26/2011 Sell PYNGF 4000 $0.2395 $958.00 $2,379.98 -5.1%
05/26/2011 Sell BUKS 1000 $0.76 $760.00 $1,421.98 72.7%
05/25/2011 Divi TESS 100 $0.10 $10.00 $661.98
05/25/2011 Buy OBCI 300 $2.87 -$861.00 $651.98
05/19/2011 Buy FONR 300 $2.275 -$682.50 $1,512.98
05/17/2011 Buy ASTC 800 $1.00 -$800.00 $2,195.48
05/16/2011 Sell FKWL 600 $2.30 $1,380.00 $2,995.48 9.5%
05/16/2011 Sell SMID 500 $1.85 $925.00 $1,615.48 -1.6%
05/13/2011 Sell DJRT 7000 $0.04 $280.00 $690.48 -12.7%
05/13/2011 Sell DJRT 8000 $0.04 $320.00 $410.48 -22.8%
05/11/2011 Buy LEE 700 $1.07 -$749.00 $90.48
05/11/2011 Sell DAVE 40 $9.93 $397.20 $839.48 -7.2%
05/05/2011 Buy DTRX 150 $8.70 -$1,305.00 $442.28
05/05/2011 Sell AMLJ 500 $2.48 $1,240.00 $1,747.28 96.8%
05/05/2011 Buy SPIN 1500 $0.76 -$1,140.00 $507.28
04/29/2011 Buy TESS 100 $11.789 -$1,178.90 $1,647.28
04/21/2011 Sell MLKNA 200 $0.88 $176.00 $2,826.18 -29.6%
04/21/2011 Sell MLKNA 200 $0.88 $176.00 $2,650.18 -34.8%
04/21/2011 Buy PYT.V 4000 $0.2524 -$1,009.60 $2,474.18
04/11/2011 Sell TPCS 400 $1.98 $792.00 $3,483.78 96.0%
04/11/2011 Sell TPCS 200 $1.98 $396.00 $2,691.78 115.2%
04/05/2011 Buy EKCS 2000 $0.31 -$620.00 $2,295.78
03/25/2011 Buy LDRXF / LEA.V 1000 $1.182 -$1,182.00 $2,915.78
03/24/2011 Sell LRAD 400 $2.64 $1,056.00 $4,097.78 10.0%
03/21/2011 Buy UPG 300 $4.139 -$1,241.70 $3,041.78
03/16/2011 Sell IAIC 4000 $0.19 $760.00 $4,283.48 18.8%
03/15/2011 Buy IBAL 1000 $0.68 -$680.00 $3,523.48
03/14/2011 Sell ZYXI 500 $0.83 $415.00 $4,203.48 29.7%
03/10/2011 Sell ZYXI 500 $0.75 $375.00 $3,788.48 17.2%
03/02/2011 Buy BUKS 2000 $0.44 -$880.00 $3,413.48
02/28/2011 Buy AUTO 1500 $0.62 -$930.00 $4,293.48
02/25/2011 Buy SNKI 100 $5.30 -$530.00 $5,223.48
02/23/2011 Sell ASRG 500 $3.00 $1,500.00 $5,753.48 201.0%
02/23/2011 Sell ASRG 250 $3.00 $750.00 $4,253.48 351.4%
02/22/2011 Buy DJRT 8000 $0.0518 -$414.40 $3,503.48
02/15/2011 Buy DAVE 40 $10.70 -$428.00 $3,917.88
02/15/2011 Buy FKWL 400 $2.60 -$1,040.00 $4,345.88
02/14/2011 Sell AMLJ 500 $2.07 $1,035.00 $5,385.88 64.3%
02/08/2011 Buy FKWL 600 $2.10 -$1,260.00 $4,350.88
02/04/2011 Buy INXSF / INX.V 4000 $0.2173 -$869.20 $5,610.88
02/04/2011 Sell TPCS 500 $1.86 $930.00 $6,480.08 96.9%
02/02/2011 Sell SMTX 200 $3.34 $668.00 $5,550.08 0.3%
01/18/2010 Buy SMID 500 $1.88 -$940.00 $4,882.08
01/12/2010 Buy ZYXI 1000 $0.64 -$640.00 $5,822.08
01/12/2010 Buy KTCC 100 $5.63 -$563.00 $6,462.08
01/05/2010 Buy SMTX 200 $3.33 -$666.00 $7,025.08
01/05/2010 Sell IEC 100 $8.65 $865.00 $7,691.08 76.1%
01/05/2010 Sell ASRG 750 $2.85 $2,137.50 $6,826.08 330.0%
01/05/2010 Sell IEC 100 $8.18 $818.00 $4,688.58 66.5%
12/28/2010 Buy LRAD 400 $2.40 -$960.00 $3,870.58
12/23/2010 Divi ASRG 1500 $0.16 $240.00 $4,830.58
12/15/2010 Buy DJRT 7000 $0.0458 -$320.60 $4,590.58
12/10/2010 Sell KLIC 100 $7.80 $780.00 $4,911.58 1.3%
12/07/2010 Sell AEY 250 $3.799 $949.75 $4,131.58 36.6%
12/02/2010 Buy ASRG 200 $1.05 -$210.00 $3,181.83
12/02/2010 Buy ASRG 300 $1.05 -$315.00 $3,391.83
12/02/2010 Buy MLKNA 200 $1.25 -$250.00 $3,706.83
11/30/2010 Buy MLKNA 200 $1.35 -$270.00 $3,956.83
11/17/2010 Buy INXSF / INX.V 5000 $0.1514 -$757.00 $4,226.83
11/10/2010 Sell EGAN 400 $1.29 $516.00 $4,983.83 12.2%
11/04/2010 Buy ASRG 1000 $0.70 -$700.00 $4,467.83
11/04/2010 Cover TSLA 20 $23.71 -$474.20 $5,167.83 -23.4%
11/03/2010 Sell PCCC 100 $8.43 $843.00 $5,642.03 1.6%
11/02/2010 Sell MPAA 75 $10.75 $806.25 $4,799.03 56.5%
10/29/2010 Cover VVUS -100 $7.63 -$763.00 $3,992.78 -20.2%
10/27/2010 Short VVUS 100 $6.35 $635.00 $4,755.78
10/27/2010 Buy PCCC 100 $8.295 -$829.50 $4,120.78
10/21/2010 Sell MPAA 75 $9.62 $721.50 $4,950.28 40.0%
10/13/2010 Buy TPCS 400 $1.01 -$404.00 $4,228.78
10/08/2010 Buy TPCS 700 $0.92 -$644.00 $4,632.78
10/07/2010 Buy EGAN 400 $1.15 -$460.00 $5,276.78
10/07/2010 Sell MASC 100 $5.20 $520.00 $5,736.78 17.4%
09/30/2010 Buy MASC 100 $4.43 -$443.00 $5,216.78
09/30/2010 Sell INTT 200 $3.10 $620.00 $5,659.78 -27.9%
09/29/2010 Sell INTT 200 $2.915 $583.00 $5,039.78 -32.2%
09/21/2010 Cover LAMR 20 $28.62 -$572.40 $4,456.78 -1.8%
09/17/2010 Buy JBII 200 $0.77 -$154.00 $5,029.18
09/16/2010 Sell VTRO 400 $2.20 $880.00 $5,183.18 -13.7%
09/16/2010 VTROD symbol changed to VTRO
09/10/2010 Buy JBII 200 $0.73 -$146.00 $4,303.18
09/10/2010 Buy IEC 200 $4.9118 -$982.36 $4,449.18
09/10/2010 Cover BC 40 $14.41 -$576.40 $5,431.54 -11.6%
08/25/2010 Short BC 40 $12.91 $516.40 $6,007.94
08/24/2010 Short TSLA 20 $19.22 $384.40 $5,491.54
08/23/2010 Cover ARNA -100 $6.88 -$688.00 $5,107.14 7.0%
08/20/2010 Short LAMR 20 $28.11 $562.20 $5,795.14
08/18/2010 VTRO 1/5 RS - New symbol VTROD
08/17/2010 Sell FKWL 300 $1.82 $546.00 $5,232.94 -9.9%
08/09/2010 Buy MPAA 150 $6.87 -$1,030.50 $4,686.94
08/06/2010 JBIIE symbol changed to JBII
08/05/2010 Buy AEY 250 $2.7815 -$695.38 $5.717.44
08/05/2010 Buy KLIC 100 $7.70 -$770.00 $6,412.82
08/03/2010 Buy GAXC 1000 $0.76 -$760.00 $7,182.82
08/03/2010 Sell UCIA 200 $2.06 $412.00 $7,942.82 -19.2%
08/02/2010 Short ARNA 100 $7.40 $740.00 $7,530.82
07/21/2010 Buy JBIIE 200 $0.99 -$198.00 $6,790.82
06/25/2010 Buy VTRO 2000 $0.51 -$1,020.00 $6,988.82
06/21/2010 Buy FKWL 300 $2.02 -$606.00 $8,008.82
06/16/2010 Buy KTCC 100 $5.39 -$539.00 $8,614.82
06/03/2010 Sell APNC 800 $0.85 $680.00 $9,153.82 -20.6%
05/28/2010 Divi UVIC 150 $0.09 $13.50 $8,473.82
05/27/2010 Sell AEY 200 $2.86 $572.00 $8,460.32 30.0%
05/27/2010 Sell AEY 200 $2.86 $572.00 $7,888.32 37.5%
05/27/2010 Sell IDSA 25 $16.40 $410.00 $7,316.32 1.4%
05/27/2010 JBII symbol changed to JBIIE
05/20/2010 Sell UVIC 150 $5.08 $762.00 $6,906.32 42.2%
05/18/2010 Sell IDSA 50 $18.07 $903.50 $6,144.32 79.8%
05/18/2010 Sell TELT 300 $0.50 $150.00 $5,240.82 -62.1%
05/13/2010 Buy INTT 400 $4.30 -$1,720.00 $5,090.82
05/13/2010 Sell VSTNQ 300 $1.35 $405.00 $6,810.82 -25.4%
05/12/2010 Sell VSYS 4000 $0.15 $600.00 $6,405.82 5.6%
05/06/2010 Cover DNDN -20 $49.50 -$990.00 $5,805.82 10.7%
05/06/2010 Sell BFDI 3000 $0.135 $405.00 $6,795.82 -10.0%
04/30/2010 Short DNDN 20 $55.42 $1,108.40 $6,390.82
04/30/2010 Buy VSTNQ 300 $1.81 -$543.00 $5,282.42
04/29/2010 Sell SMTX 100 $4.05 $405.00 $5,825.42 55.2%
04/27/2010 Sell KTCC 100 $5.98 $598.00 $5,420.42 7.7%
04/27/2010 Sell KTCC 100 $5.98 $598.00 $4,822.42 17.0%
04/26/2010 Buy JBII 100 $5.64 -$564.00 $4,224.42
04/23/2010 Buy KTCC 100 $5.5503 -$555.03 $4,788.42
04/21/2010 Sell SMTX 100 $3.90 $390.00 $5,343.45 49.4%
04/20/2010 Sell SMTX 100 $3.70 $370.00 $4,953.45 41.8%
04/20/2010 UVICF symbol changed to UVIC
04/19/2010 Buy IDSA 25 $16.18 -$404.50 $4,583.45
04/09/2010 Buy UCIA 200 $2.55 -$510.00 $4,987.95
03/31/2010 Buy APNC 800 $1.07 -$856.00 $5,497.95
03/25/2010 Sell STRN 100 $7.08 $708.00 $6,353.95 0.6%
03/11/2010 Sell DAAT 1000 $0.76 $760.00 $5,645.95 -15.5%
03/05/2010 Buy SMTX 300 $2.61 -$783.00 $4,885.95
03/05/2010 Buy STRN 100 $7.04 -$704.00 $5,668.95
03/02/2010 Sell ROIAK 250 $3.17 $792.50 $6,372.95 26.8%
02/26/2010 Divi UVICF 150 $0.09 $13.50 $5,580.45
02/24/2010 Buy KTCC 100 $5.11 -$511.00 $5,566.95
02/12/2010 Buy IDSA 50 $10.05 -$502.50 $6,077.95
02/12/2010 Buy AEY 200 $2.20 -$440.00 $6,580.45
02/11/2010 Sell MKRS 2500 $0.28 $700.00 $7,020.45 -6.7%
02/10/2010 Buy BFDI 3000 $0.15 -$450.00 $6,320.45
02/10/2010 Sell LBY 100 $9.37 $937.00 $6,770.45 63.0%
02/09/2010 Sell CMTX 999 $0.29 $289.71 $5,833.45 31.8%
02/09/2010 Sell LBY 100 $10.00 $1,000.00 $5,543.74 73.9%
02/08/2010 Sell ROIAK 250 $3.36 $840.00 $4,543.74 242.9%
02/08/2010 Sell CMTX 2001 $0.20 $400.20 $3,703.74 -9.1%
02/05/2010 Buy TELT 300 $1.32 -$396.00 $3,303.54
01/28/2010 Sell GAXC 700 $1.01 $707.00 $3,699.54 26.3%
01/21/2010 Sell BFDI 3000 $0.235 $705.00 $2,992.54 67.9%
01/14/2010 Sell TBUS 400 $1.72 $688.00 $2,287.54 -28.6%
01/08/2010 Sell GAXC 400 $1.04 $416.00 $1,599.54 30.0%
01/04/2010 LYBI uplisted to AMEX. New symbol LBY.
12/17/2009 Buy CMTX 3000 $0.22 -$660.00 $1,183.54
12/16/2009 Buy AEY 200 $2.08 -$416.00 $1,843.54
12/16/2009 Buy BFDI 3000 $0.14 -$420.00 $2,259.54
12/15/2009 Sell EGMI 450 $1.22 $549.00 $2,679.54 -16.4%
12/15/2009 Sell EGMI 450 $1.25 $562.50 $2,130.54 -14.4%
12/09/2009 Buy ROIAK 250 $2.50 -$625.00 $1,568.04
12/01/2009 Buy MKRS 2500 $0.30 -$750.00 $2,193.04
11/30/2009 Sell BFDI 4000 $0.18 $720.00 $2,943.04 50.0%
11/30/2009 Buy IAIC 4000 $0.16 -$640.00 $2,223.04
11/25/2009 Buy VSYS 4000 $0.142 -$568.00 $2,863.04
11/23/2009 Buy UVICF 150 $3.70 -$555.00 $3,431.04
11/19/2009 Buy JBII 300 $1.10 -$330.00 $3,986.04
11/13/2009 Sell ASRG 350 $3.35 $1,172.50 $4,316.04 147.6%
11/13/2009 Sell ASRG 350 $3.30 $1,155.00 $3,143.54 143.9%
11/12/2009 Buy BFDI 4000 $0.12 -$480.00 $1,988.54
11/11/2009 Sell OPTV 400 $1.55 $620.00 $2,468.54 1.3%
11/10/2009 Buy LYBI 200 $5.75 -$1,150.00 $1,848.54
11/05/2009 Sell UVE 100 $6.07 $607.00 $2,998.54 12.0%
11/03/2009 Buy OPTV 400 $1.53 -$612.00 $2,391.54
11/03/2009 Buy UVE 100 $5.42 -$542.00 $3,003.54
10/30/2009 Buy AMLJ 1000 $1.26 -$1,260.00 $3,545.54
10/22/2009 Sell RODM 150 $5.10 $765.00 $4,805.54 -15.3%
10/15/2009 Sell ROIAK 250 $1.75 $437.50 $4,040.54 78.6%
10/01/2009 Buy ASRG 700 $1.3528 -$946.96 $3,603.04
10/01/2009 Buy TBUS 400 $2.41 -$964.00 $4,550.00
10/01/2009 Buy ROIAK 500 $0.98 -$490.00 $5,514.00
10/01/2009 Buy RODM 150 $6.02 -$903.00 $6,004.00
10/01/2009 Buy GAXC 1100 $0.80 -$880.00 $6,907.00
10/01/2009 Buy EGMI 900 $1.46 -$1,314.00 $7,787.00
10/01/2009 Buy DAAT 1000 $0.899 -$899.00 $9,101.00
10/01/2009 Deposit Cash $10,000.00 $10,000.00
Vuzix to List Shares on NASDAQ Capital Market
NASDAQ trading in "VUZI" to commence on January 28, 2015
ROCHESTER, N.Y., Jan. 26, 2015 /PRNewswire/ -- Vuzix® Corporation (VUZI) ("Vuzix" or, the "Company"), a leading supplier of video eyewear and smart glasses products in the consumer, commercial and entertainment markets, announced today it has received approval from the NASDAQ Stock Market LLC ("NASDAQ") for the listing of its common stock on the NASDAQ Capital Market. Vuzix common stock will retain the ticker symbol "VUZI" and will commence trading on the NASDAQ Capital Market on January 28, 2015.
View photo
.
Vuzix Logo
Paul Travers, CEO and Founder of Vuzix Corporation said, "It has always been our intention to be a NASDAQ-listed company and we have now achieved that goal for our shareholders. Our recent investment from Intel Corporation and the related transactions not only provided us with the capital to accelerate products around our next generation wearable technology, but also transformed our balance sheet to meet NASDAQ's listing criteria. With this listing on a U.S. national securities exchange, we believe we will be able to enhance our Company visibility as we continue to seek to improve shareholder value moving forward."
About Vuzix Corporation
Vuzix is a leading supplier of Video Eyewear and Smart Glasses products in the consumer, commercial and entertainment markets.
The Company's products include personal display and wearable computing devices that offer users a portable high quality viewing experience, provide solutions for mobility, wearable displays and virtual and augmented reality. Vuzix holds 39 patents and 12 additional patents pending and numerous IP licenses in the Video Eyewear field. The Company has won Consumer Electronics Show (or CES) awards for innovation for the years 2005 to 2014 and several wireless technology innovation awards, among others. Founded in 1997, Vuzix is a public company (VUZI.QB) with offices in Rochester, NY, Oxford, UK and Tokyo, Japan.
Forward-Looking Statements Disclaimer
Certain statements contained in this news release are "forward-looking statements" within the meaning of the Securities Litigation Reform Act of 1995 and applicable Canadian securities laws. Forward-looking statements contained in this release relate to potential impact of listing on NASDAQ, future business, and the value of the IP portfolio, among other things, and the Company's leadership in the Video Eyewear and AR display industry. They are generally identified by words such as "believes," "may," "expects," "anticipates," "should" and similar expressions. Readers should not place undue reliance on such forward-looking statements, which are based upon the Company's beliefs and assumptions as of the date of this release. The Company's actual results could differ materially due to risk factors and other items described in more detail in the "Risk Factors" section of the Company's Annual Reports and MD&A filed with the United States Securities and Exchange Commission and applicable Canadian securities regulators (copies of which may be obtained at www.sec.gov and www.sedar.com, respectively). Subsequent events and developments may cause these forward-looking statements to change. The Company specifically disclaims any obligation or intention to update or revise these forward-looking statements as a result of changed events or circumstances that occur after the date of this release, except as required by applicable law.
For further investor information contact:
Investor Relations Contact:
Andrew Haag
Managing Partner
IRTH Communications
vuzi@irthcommunications.com
Tel: (877) 368-3566
Vuzix Corporation
2166 Brighton Henrietta Townline Road
Rochester, NY 14623 USA
Investor Information ā Grant Russell
IR@Vuzix.com
Tel: (585) 359-7562
www.vuzix.com
Logo - http://photos.prnewswire.com/prnh/20130516/NY15123LOGO
To view the original version on PR Newswire, visit:http://www.prnewswire.com/news-releases/vuzix-to-list-shares-on-nasdaq-capital-market-300025304.html
VTSI printed $0.16!
Norsat announces intent to cross list on NYSE MKT and share consolidation
VANCOUVER, Jan. 19, 2015 /PRNewswire/ - Norsat International Inc. ("Norsat" or "the Company") (TSX: NII and OTC BB: NSATF), a leading provider of innovative communication solutions that enable the transmission of data, audio and video for remote and challenging applications, today announced that it has received clearance from NYSE Regulation, Inc. on behalf of NYSE MKT LLC to file an Original Listing Application (the "application") to list the Company's common shares (the "Common Shares") on the NYSE MKT. Following the filing and acceptance of the application and meeting the NYSE MKT's minimum trading price requirement, it is expected that Norsat will have the opportunity to begin trading on the NYSE MKT.
Dr. Amiee Chan, chief executive officer of Norsat International, commented, "Norsat has made considerable progress over the last number of years to transition the company to a leadership position within the highly specialized communications marketplace in which we operate. We continue to stay at the forefront of product innovation, and have effectively supplemented our internal growth with strategic acquisitions which has led to consistent profitability over the last 8 years. A listing on the NYSE MKT will enhance our visibility, particularly in the United States, where more than half of our revenues are derived from. We are excited about this next stage of development for Norsat as we believe a listing on the NYSE MKT is a key component to enhance shareholder value going forward."
In connection with its application to list on the NYSE MKT and its minimum trading price requirements, the Company will complete a consolidation of its Common Shares on the basis of ten pre-consolidation Common Shares for each one post consolidation common share (the "Consolidation"). The Consolidation will result in the approximately 58,316,532 Common Shares currently issued and outstanding being reduced to approximately 5,831,653 Common Shares on a post-consolidated basis. No fractional Common Shares will be issued in connection with the Consolidation. Any fractional shares that result from the Consolidation will be rounded to the nearest whole number.
The Company's Common Shares will continue to trade on the Toronto Stock Exchange (the "TSX") under the symbol "NII" on a post-consolidated basis under the new CUSIP number 656512209. The Common Shares will commence trading on the TSX on a post consolidated basis on January 21, 2015.
Letters of transmittal with respect to the Consolidation were mailed to all registered shareholders of the Company on or around January 16, 2015. All registered shareholders will be required to send their respective certificates representing the pre-consolidated Common Shares along with a properly executed letter of transmittal to the Company's transfer agent, Computershare Investor Services Inc., in Toronto, Ontario, all in accordance with the instructions provided in the letter of transmittal.
About Norsat International Inc.
Founded in 1977, Norsat International Inc. is a leading provider of innovative communication solutions that enable the transmission of data, audio and video for remote and challenging applications. Norsat's products and services include leading-edge product design and development, production, distribution and infield support and service of fly-away satellite terminals, microwave components, antennas, Radio Frequency (RF) conditioning products, maritime based satellite terminals and remote network connectivity solutions. More information is available at www.norsat.com, via email at investor@norsat.com or by phone at 1-604-821-2800.
Forward Looking
The discussion and analysis of this news release contains forward-looking statements concerning anticipated developments in Norsat's operations in future periods, the adequacy of its financial resources and other events or conditions that may occur in the future. Forward-looking statements are frequently, but not always, identified by words such as "expects," "anticipates," "believes," "intends," "estimates,", "predicts," "potential," "targeted," "plans," "possible" and similar expressions, or statements that events, conditions or results "will," "may," "could" or "should" occur or be achieved. These forward-looking statements include, without limitation, statements about Norsat's market opportunities, strategies, competition, expected activities and expenditures as it pursues its business plan, the adequacy of available cash resources and other statements about future events or results. Forward-looking statements are statements about the future and are inherently uncertain, and actual achievements of the Company or other future events or conditions may differ materially from those reflected in the forward-looking statements due to a variety of risks, uncertainties and other factors, such as business and economic risks and uncertainties. The forward-looking statements are based on the beliefs, expectations and opinions of management on the date the statements are made. Consequently, all forward-looking statements made in this news release are qualified by this cautionary statement and there can be no assurance that actual results or anticipated developments will be realized. For the reasons set forth above, investors should not place undue reliance on forward-looking statements. These forward-looking statements are made as of the date of this news release and Norsat assumes no obligation to update or revise them to reflect new events or circumstances, other than as required by law.
SCKT had a nice day. It was up $0.20 to $2.88.
Sell 10,000 shares of GLGI for the SwingTrade Portfolio for $0.325.
CPS Technologies Corporation to List Shares on NASDAQ Capital Markets
NORTON, MA--(Marketwired - Jan 13, 2015) - CPS Technologies Corporation (OTCQB: CPSH) announced today it has received approval from The NASDAQ Stock Market LLC ("NASDAQ") to list its common stock on the NASDAQ Capital Markets. CPS' common stock will retain the ticker symbol "CPSH" when it commences trading on the NASDAQ Capital Markets on or about January 15, 2015.
Grant Bennett, President and Chief Executive Officer, said, "We previously announced our goal of being listed on NASDAQ and we are pleased to have accomplished this objective. We believe being listed on the NASDAQ Capital Markets will help us gain exposure with a broader investor universe leading to improved liquidity, benefiting both current and future shareholders." He added, "We are proud of our fundamentals: we are a high- technology company which manufactures in the U.S., exports a majority of our products outside the U.S., is profitable, debt-free and is the leader in growing markets. As the megatrend of "electrification" accelerates around the world, we are excited about our ability to provide solutions to thermal management problems in applications ranging from hybrid electric vehicles and high speed trains to high-performance microprocessors and satellite applications."
About CPS
CPS Technologies Corporation is a global leader in producing metal-matrix composite components used to improve the reliability and performance of various electrical systems. CPS products are used in motor controllers for hybrid and electric vehicles, high-speed trains, subway cars and wind turbines. They are also used as heatspreaders in internet switches, routers and high-performance microprocessors. CPS also develops and produces metal-matrix composite armor.
Safe Harbor
Statements made in this document that are not historical facts or which apply prospectively, including those relating to 2014 financial results, are forward-looking statements that involve risks and uncertainties. These forward-looking statements are identified by the use of terms and phrases such as "will," "intends," "believes," "expects," "plans," "anticipates" and similar expressions. Investors should not rely on forward looking statements because they are subject to a variety of risks and uncertainties and other factors that could cause actual results to differ materially from the company's expectation. Additional information concerning risk factors is contained from time to time in the company's SEC filings, including its Annual Report on Form 10-K and other periodic reports filed with the SEC. Forward-looking statements contained in this press release speak only as of the date of this release. Subsequent events or circumstances occurring after such date may render these statements incomplete or out of date. The company expressly disclaims any obligation to update the information contained in this release.
Contact:
CPS Technologies Corporation
Ralph Norwood
Chief Financial Officer
111 South Worcester Street
Norton, MA 02766
Telephone: (508) 222-0614
Web Site: www.alsic.com
I haven't looked at FVRG in a while so I have no opinion.
Thanks.
Ian Cassel and I did this radio program on being a full-time investor and trader.
http://microcapclub.com/2015/01/so-you-want-to-be-a-full-time-microcap-investor/
Ian Cassel and I did this radio program on being a full-time investor and trader.
http://microcapclub.com/2015/01/so-you-want-to-be-a-full-time-microcap-investor/
It has been more than cut in HaLF from the high.
When we purchased SCKT yesterday we planned it as an initial purchase and planned to buy more. Also, purchases are joint decisions between Rawnoc and I. Finally, I don't think we spent as much time as we should on position size.
I've been buying SCKT for over two months and it is now my second largest holding. It is the best new idea I have seen this quarter. I think it has good odds of running to $5 in 2015 and beyond that it subsequent years.
Here is a short summary of why I like it:
1. Growing earnings - They made $0.08/share in Q3'14 vs. a loss of $0.07 in Q3'13. Based upon their guidance, it is looking like Q4'14 will come in with EPS in the $0.05-$0.07 range. I expect EPS to grow significantly in 2015 as revenue grows. I haven't created a model yet but earnings in the $0.50 ballpark is a good swag.
2. Sustainable growth - They have a huge tail wind behind them. The tail wind is created by two main components. First, they have been able to get many software developers to add support for their scanners. So, when people buy this software, they will often buy the scanner. This gives them a lot of marketing that is basically free and which should propel sales going forward. The second tail wind is the rapid growth of Mobile Point-Of-Sale systems and more generally for mobile applications. I really like businesses in growing markets because they don't have to gain market share to grow their top line.
3. High gross margins - Their gross margin in the last quarter was 43.6% which is a very good margin. As revenue grows they don't have to add much in the way of expenses as the application providers do a lot of the marketing indirectly. Therefore, income drops rapidly to the bottom line.
4. Multiple expansion - My assumption is that they will be able to provide consistent growth for at least several years. If they are able to achieve that, they should be able to obtain an attractive multiple given the interesting sector and likely a rapid growth rate. At this point I'm not ready to talk about specific multiples that they can achieve as I think it is a bit too early but I think SCKT has a good chance in the long run of having an aggressive multiple.
If you are just getting started on your DD, a good place to start is the LD Micro Presentation which is located here:
http://wsw.com/webcast/ldmicro7/sckt
Thanks to southacresdave for all his DD on this name. http://investorshub.advfn.com/boards/profilea.aspx?user=58493
Your wish has been granted.
Buy 1,000 shares of SCKT for the SwingTrade Portfolio at $2.47.
I generally don't touch commodity stocks so I'm probably no help with that.
I have to research some things on VTSI. However, I believe that earnings over the coming four quarters will be in the $0.04/share ballpark. Therefore, it may just be getting started.
Do you really think I would invite a bunch of people to my new house that pride themselves on drunkenness? :)
Besides, it is a party here every day.
I know. I was just making a point that frequency of picks is not important. The only thing that matters is return. :)
The return wasn't bad for having one hand tied behind my back and four fingers injured. :)
SWINGTRADE PORTFOLIO 12/31/2014 Update: +510.9% Since Oct. 1 2009 Inception
The SwingTrade Portfolio was up 36.2% in 2014. See the transaction log for details on the transactions since the last update.
Top Return for Closed Positions
Stocks Options
1. PFHO +3,858.8% 1. PMT Calls +145.5%
2. BIOYF/RX.V +576.7% 2. AMLN Calls +29.2%
3. ASRG +351.4%
4. PBSV +310.3%
5. ROIAK +242.9%
Symbol Shares Price Value Return
------------------------------------------------------
ETCIA 4000 $0.055 $220.00 -72.5%
GLGI 10000 $0.3124 $3,124.00 -25.6%
MUEL 50 $48.00 $2,400.00 25.3%
MUEL 50 $48.00 $2,400.00 50.0%
PFHO 50 $38.07 $1,903.50 189.6%
PFHO 150 $38.07 $5,710.50 4,378.9%
VTSI 50000 $0.136 $6,800.00 124.1%
Cash $38,534.49
------------------------------------------------------
Total/Return since 10/01/09 $61,092.49 510.9%*
* Note that return includes profit/loss from transactions below.
Date Type Symbol Shares Price Amount Cash Return
---------------------------------------------------------------------------------
12/31/2014 Sell ALJJ 500 $4.40 $2,200.00 $38,534.49 109.5%
12/31/2014 Sell CCNI 5000 $0.74 $3,700.00 $36,334.49 89.7%
12/31/2014 Sell CCNI 5000 $0.74 $3,700.00 $32,634.49 80.5%
12/23/2014 Sell SKAS 5000 $0.083 $415.00 $28,934.49 -7.8%
11/05/2014 Sell NATH 100 $72.228 $7,222.80 $28,519.49 31.2%
09/18/2014 Buy VTSI 50000 $0.0607 -$3.035.00 $21,296.69
08/15/2014 Sell CSTI 200 $13.80 $2,760.00 $24,331.69 38.0%
08/11/2014 Sell ALJJ 1500 $3.00 $4,500.00 $21,571.69 42.9%
08/11/2014 Buy NATH 100 $55.07 -$5,507.00 $17,071.69
05/16/2014 Sell CSTI 200 $10.60 $2,120.00 $22,578.69 6.0%
05/15/2014 Buy ALJJ 2000 $2.10 -$4,200.00 $20,458.69
05/14/2014 Sell TBTC 1500 $0.93 $1,395.00 $24,658.69 16.3%
05/06/2014 Sell CTEI 4500 $0.68 $3,060.00 $23,263.69 33.3%
05/06/2014 Sell CTEI 3500 $0.6899 $2,414.65 $20,203.69 35.3%
04/30/2014 Buy CTEI 8000 $0.51 $4,080.00 $17,789.04
03/24/2014 Sell BIOYF/RX.V 500 $5.2716 $2,635.80 $21,869.04 50.9%
03/24/2014 Buy MUEL 50 $38.31 -$1,915.50 $19,233.24
03/20/2014 Buy CCNI 5000 $0.41 -$2,050.00 $21,148.74
03/10/2014 Sell JBII 100 $0.155 $15.50 $23,198.74 -96.2%
03/10/2014 Sell JBII 200 $0.155 $31.00 $23,183.24 -79.9%
03/10/2014 Sell JBII 200 $0.155 $31.00 $23,152.24 -78.8%
03/10/2014 Sell JBII 200 $0.155 $31.00 $23,121.24 -84.3%
03/10/2014 Sell JBII 100 $0.155 $15.50 $23,090.24 -97.3%
03/10/2014 Sell JBII 300 $0.155 $46.50 $23,074.74 -85.9%
03/07/2014 Buy GLGI 10000 $0.42 -$4,200.00 $23,028.24
02/19/2014 Sell FTLF 1500 $2.75 $4,125.00 $27,228.24 32.9%
02/05/2014 Sell VTSI 20000 $0.058 $1,160.00 $23,103.24 16.0%
01/28/2014 Buy BIOYF/RX.V 500 $3.4930 -$1,746.50 $21,943.24
01/18/2014 Sell CLSN_140118C0500 100 $0.00 $0.00 $23,689.74 -100.0%
01/17/2014 Buy CSTI 400 $10.00 -$4,000.00 $23,689.74
01/15/2014 Buy FTLF 1500 $2.07 -$3,105.00 $27,689.74
01/10/2014 Buy PFHO 50 $25.00 -$1,250.00 $30,794.74
01/09/2014 Sell ITSI 500 $1.24 $620.00 $32,044.74 30.5%
01/09/2014 Sell ITSI 500 $1.24 $620.00 $31,424.74 14.8%
01/09/2014 Sell ITSI 500 $1.24 $620.00 $30,804.74 11.7%
01/09/2014 Sell ITSI 500 $1.24 $620.00 $30,184.74 18.1%
01/09/2014 Sell ITSI 1000 $1.24 $1,240.00 $29,564.74 22.8%
01/07/2104 Sell IHCH 5000 $0.071 $355.00 $28,324.74 -40.8%
01/07/2014 Sell IHCH 10000 $0.071 $710.00 $27,969.74 1.4%
01/07/2014 Sell IHCH 2500 $0.071 $177.50 $27,259.74 -5.3%
01/07/2014 Sell IHCH 2500 $0.071 $177.50 $27,082.24 -12.3%
01/06/2014 Sell OPRX 750 $1.83 $1,372.50 $26,904.74 1.1%
12/24/2013 Sell CDOC 5000 $0.20 $1,000.00 $25,532.24 77.0%
12/16/2013 Sell INXSF / INX.V 5000 $0.2266 $1,133.00 $24,532.24 49.7%
12/16/2013 Sell INXSF / INX.V 4000 $0.2266 $906.40 $23,399.24 4.3%
12/16/2013 Sell PFHO 100 $33.65 $3,365.00 $22,492.84 3858.8%
12/16/2013 Sell PFHO 50 $33.65 $1,682.50 $19,127.84 280.2%
11/27/2013 Buy TBTC 1500 $0.80 -$1,200.00 $17,445.34
11/25/2013 Buy VTSI 20000 $0.05 -$1,000.00 $18,645.34
11/06/2013 Buy CCNI 5000 $0.39 -$1,950.00 $19,645.34
11/06/2013 Sell BIOYF/RX.V 500 $3.7436 $1,871.80 $21,595.34 576.7%
11/04/2013 Buy MUEL 50 $32.00 -$1,600.00 $19,723.54
10/30/2013 Sell BIOYF/RX.V 500 $3.2994 $1,649.70 $21,323.54 222.5%
10/28/2013 Sell BIOYF/RX.V 500 $2.9782 $1.489.10 $19,673.84 174.9%
10/21/2013 Sell PBSV 1000 $1.60 $1,600.00 $18,184.74 310.3%
10/21/2013 Sell PBSV 500 $1.60 $800.00 $16,584.74 86.0%
10/21/2013 Sell UPG 300 $1.55 $465.00 $15,784.74 -62.6%
10/18/2013 Sell BIOYF/RX.V 500 $2.6243 $1,312.15 $15,319.74 22.2%
09/19/2013 Buy BIOYF/RX.V 500 $2.1484 -$1,074.20 $14,007.59
09/05/2013 Sell BIOYF/RX.V 500 $2.5185 $1,259.25 $15,081.79 355.3%
09/05/2013 Sell BIOYF/RX.V 1000 $2.4372 $2,437.20 $13,822.54 125.0%
07/18/2013 Buy OPRX 750 $1.81 -$1,357.50 $11,385.34
07/18/2013 Buy PFHO 50 $8.85 -$442.50 $12,742.84
07/12/2013 Buy IHCH 5000 $0.12 -$600.00 $13,185.34
07/11/2013 Buy ITSI 500 $0.95 -$475.00 $13,785.34
07/11/2013 Sell LBMH 750 $1.68 $1,260.00 $14,260.34 72.7%
07/10/2013 Sell LBMH 750 $1.56 $1,170.00 $13,000.34 69.5%
07/03/2013 Divi LBMH 1500 $0.03 $45.00 $11,830.34
07/02/2013 Sell BNLB 5000 $0.155 $775.00 $11,785.34 49.8%
07/02/2013 Sell BNLB 5000 $0.155 $775.00 $11.010.34 49.8%
06/18/2013 Sell NROM 1000 $1.09 $1,090.00 $10,235.34 62.7%
06/18/2013 Buy BNLB 10000 $0.1035 -$1,035.00 $9,145.34
06/14/2013 Buy LBMH 750 $0.99 -$742.50 $10,180.34
05/30/2013 Sell NROM 500 $1.03 $515.00 $10,922.84 28.8%
05/16/2013 Sell MKTY 4000 $0.43 $1,720.00 $10,407.84 34.4%
05/14/2013 Buy BIOYF/RX.V 1000 $1.0833 -$1,083.30 $8,687.84
05/06/2013 Divi LBMH 750 $0.02 $15.00 $9,771.14
05/03/2013 Sell PAOS 2500 $0.25 $625.00 $9,756.14 -24.2%
05/03/2013 Buy NROM 500 $0.80 -$400.00 $9,131.14
04/23/2013 Buy ITSI 500 $1.08 -$540.00 $9,531.14
04/19/2013 Buy BIOYF/RX.V 1000 $1.0232 -$1,023.20 $10,071.14
03/23/2013 Buy MKTY 4000 $0.32 -$1,280.00 $11,094.34
03/28/2013 Sell BIOYF/RX.V 1500 $1.3067 $1,960.05 $12,374.34 136.2%
03/20/2013 Sell PFHO 50 $7.70 $385.00 $10,414.29 805.9%
03/20/2013 Sell MIGL 400 $1.46 $584.00 $10,029.29 25.9%
03/20/2013 Sell MIGL 1100 $1.46 $1,606.00 $9,445.29 5.9%
03/18/2013 Buy ITSI 500 $1.11 -$555.00 $7,839.29
03/18/2013 Sell NROM 1000 $0.95 $950.00 $8,394.29 34.5%
03/14/2013 Buy MIGL 1100 $1.41 -$1,551.00 $7,444.29
03/14/2013 Buy LBMH 750 $0.95 -$712.50 $8,995.29
03/14/2013 Buy ITSI 500 $1.05 -$525.00 $9,707.79
03/05/2013 Sell MSEH 3000 $0.154 $462.00 $10,232.79 -40.8%
03/01/2013 Sell PSIX 75 $21.40 $1,605.00 $9,770.79 25.1%
02/27/2013 Sell BIOYF/RX.V 500 $1.3488 $674.40 $8,165.79 143.8%
02/25/2013 Sell CMKG 800 $1.30 $1,040.00 $7,491.39 30.0%
02/20/2013 Sell SPIN 1500 $0.45 $675.00 $6,451.39 -40.8%
02/20/2013 Sell SPIN 500 $0.45 $225.00 $5,776.39 -64.0%
02/19/2013 Buy ETCIA 4000 $0.20 $800.00 $5,551.39
02/14/2013 Sell BNLB 5000 $0.122 $610.00 $6,351.39 35.6%
02/14/2013 Sell BNLB 5000 $0.1116 $558.00 $5,741.39 24.0%
02/06/2013 Buy CMKG 800 $1.00 -$800.00 $5,183.39
02/05/2013 Buy CDOC 5000 $0.113 -$565.00 $5,983.39
02/01/2013 Buy PBSV 500 $0.86 -$430.00 $6,548.39
01/28/2013 Sell PSIX 25 $19.95 $498.75 $6,978.39 16.7%
01/28/2013 Buy PAOS 2500 $0.33 -$825.00 $6.479.64
01/23/2013 Buy BNLB 10000 $0.09 -$900.00 $7,304.64
01/23/2013 Buy ITSI 1000 $1.01 -$1,010.00 $8,204.64
01/23/2013 Sell ITSI 500 $1.58 $790.00 $9,214.64 143.1%
01/23/2013 Sell ITSI 500 $1.19 $595.00 $8,424.64 83.1%
01/16/2013 Buy ITSI 1000 $0.65 -$650.00 $7,829.64
01/11/2013 Sell GV 500 $2.10 $1,050.00 $8,479.64 11.1%
01/07/2013 Buy CLSN_140118C0500 100 $4.50 -$450.00 $7,429.64
12/20/2012 Buy IHCH 2500 $0.075 -$187.50 $7,879.64
12/20/2012 Buy IHCH 2500 $0.081 -$202.50 $8,067.14
12/20/2012 Buy NROM 1000 $0.67 -$670.00 $8,269.64
12/03/2012 Buy GV 500 $1.89 -$945.00 $8,939.64
11/28/2012 Sell SODA 20 $37.68 $753.60 $9,884.64 2.6%
11/14/2012 Sell FFEX 800 $1.63 $1,304.00 $9,131.04 1.2%
10/18/2012 Sell NHTC 800 $1.29 $1,032.00 $7,827.04 -14.0%
10/15/2012 Sell JOEZ 800 $1.23 $984.00 $6,795.04 5.1%
10/12/2012 Sell LDRXF / LEA.V 1000 $0.431 $431.10 $5,811.04 -63.5%
10/12/2012 Sell COBR 200 $5.20 $1,040.00 $5,379.94 16.9%
10/11/2012 Buy JOEZ 800 $1.17 -$936.00 $4,339.94
09/26/2012 Sell BUKS 2000 $0.295 $590.00 $5,275.94 -7.8%
09/07/2012 Buy NROM 1000 $0.7065 -$706.50 $4,685.94
08/27/2012 Sell AAPL 1 $674.47 $674.47 $5,392.44 12.4%
08/16/2012 Divi AAPL 1 $2.65 $2.65 $4,717.97
08/15/2012 Sell VTNR 500 $1.88 $940.00 $4,715.32 -6.0%
08/13/2012 Buy IHCH 10000 $0.07 -$700.00 $3,775.32
08/10/2012 Buy MIGL 400 $1.16 -$464.00 $4,475.32
08/09/2012 Buy FFEX 800 $1.61 -$1,288.00 $4,939.32
07/31/2012 Sell TPCFF / TLA.V 1500 $0.7075 $1,061.25 $6,227.32 61.7%
07/30/2012 Buy BUKS 2000 $0.32 -$640.00 $5,166.07
07/27/2012 Sell MIGL 750 $1.80 $1,350.00 $5,806.07 168.7%
07/27/2012 Buy COBR 200 $4.45 -$890.00 $4,456.07
07/17/2012 Buy NHTC 800 $1.50 -$1,200.00 $5,346.07
07/11/2012 Buy SODA 20 $36.72 -$734.40 $6,546.07
07/06/2012 Sell ITSI 1000 $0.50 $500.00 $7,280.47 56.3%
07/02/2012 Sell AMLN_0817C23.0 100 $7.75 $775.00 $6,780.47 29.2%
06/27/2012 Buy AMLN_0817C23.0 100 $6.00 -$600.00 $6,005.47
06/22/2012 Sell GV 250 $2.20 $550.00 $6,605.47 48.6%
06/19/2012 Sell GV 250 $2.38 $595.00 $6,055.47 60.8%
06/11/2012 Sell GV 250 $2.28 $570.00 $5,460.47 67.6%
06/11/2012 Sell TPCS 1500 $0.629 $943.50 $4,890.47 -52.7%
06/04/2012 Sell MIGL 750 $0.99 $742.50 $3,946.97 47.8%
05/18/2012 Sell TPCFF / TLA.V 1500 $0.6276 $941.40 $3,204.47 43.5%
05/17/2012 Buy GV 250 $1.36 -$340.00 $2,263.07
05/11/2012 Buy GV 500 $1.48 -$740.00 $2,603.07
05/07/2012 Sell ASTC 800 $1.08 $864.00 $3,343.07 8.0%
05/02/2012 Buy MIGL 1500 $0.67 -$1,005.00 $2,479.07
04/24/2012 Buy PSIX 100 $17.10 -$1,710.00 $3,484.27
04/02/2012 Sell SGRP 500 $1.341 $670.50 $5,194.27 9.9%
03/27/2012 Sell KSW 200 $3.9199 $783.98 $4,523.77 15.6%
03/27/2012 Sell KSW 200 $3.9199 $783.98 $3,739.79 4.5%
03/26/2012 Buy MSEH 3000 $0.26 -$780.00 $2,955.81
03/22/2012 Buy AAPL 1 $602.50 -$602.50 $3,735.81
03/22/2012 Buy VTNR 500 $2.00 -$1,000.00 $4,338.31
03/20/2012 Buy TPCFF / TLA.V 3000 $0.4375 -$1,312.50 $5,338.31
03/07/2012 Buy SGRP 500 $1.22 -$610.00 $6,650.81
03/01/2012 Buy KSW 200 $3.751 -$750.20 $7,260.81
03/01/2012 Sell SNKI 50 $9.95 $497.50 $8,011.01 87.7%
02/27/2012 Sell BMRA 1000 $0.73 $730.00 $7,513.51 25.9%
02/17/2012 Buy BIOYF/RX.V 3000 $0.5532 -$1,659.60 $6,783.51
02/13/2012 Sell AXST 3000 $0.41 $1,230.00 $8,443.11 70.8%
02/08/2012 Sell PMT_0421C17.5 400 $1.35 $540.00 $7,213.11 145.5%
02/03/2012 Buy KSW 200 $3.39 -$678.00 $6,673.11
02/03/2012 Sell SNKI 50 $9.80 $490.00 $7,351.11 84.9%
02/01/2012 Buy BMRA 1000 $0.58 -$580.00 $6,861.11
01/31/2012 Sell PBSV 1000 $0.73 $730.00 $7,441.11 87.2%
01/31/2012 Buy PMT_0421C175 400 $0.55 -$220.00 $6,711.11
01/31/2012 Sell IPMN 600 $0.401 $240.60 $6,931.11 -71.8%
01/31/2012 Sell IPMN 200 $0.401 $80.20 $6,690.51 -60.7%
01/27/2012 Sell ASTC 400 $0.86 $344.00 $6,610.31 19.4%
01/13/2012 Sell OBCI 400 $2.231 $892.40 $6,266.31 11.5%
01/11/2012 Sell IBAL 200 $1.54 $308.00 $5,373.91 126.5%
01/09/2012 Sell TESS 100 $15.15 $1,515.00 $5,065.91 31.9%
01/04/2012 Sell IBAL 200 $1.39 $278.00 $3,550.91 104.4%
01/04/2012 Buy ITSI 1000 $0.32 -$320.00 $3,272.91
12/30/2011 Buy OBCI 400 $2.0001 -$800.04 $3,592.91
12/30/2011 Sell IBAL 600 $1.40 $840.00 $4,392.95 105.9%
12/27/2011 Sell GAXC 1000 $0.65 $650.00 $3,552.95 -14.5%
12/16/2011 Sell IPMN 400 $0.385 $154.00 $2,902.95 -62.3%
12/16/2011 Sell IPMN 600 $0.385 $231.00 $2,748.95 -33.6%
12/07/2011 Buy IPMN 600 $0.58 -$348.00 $2,517.95
12/07/2011 Buy PFHO 300 $0.85 -$255.00 $2,865.95
11/16/2011 Divi TESS 100 $0.15 $15.00 $3,120.95
11/01/2011 Buy AXST 3000 $0.24 -$720.00 $3,105.95
10/03/2011 Sell FONR 300 $1.63 $489.00 $3,825.95 -28.4%
09/16/2011 Buy TPCS 1500 $1.20 -$1,800.00 $3,336.95
09/16/2011 Buy IPMN 600 $1.02 -$612.00 $5,136.95
09/16/2011 Buy ASTC 400 $0.72 -$288.00 $5,748.95
08/22/2011 Sell EKCS 2000 $0.19 $380.00 $6,036.95 -38.7%
08/19/2011 Buy SPIN 500 $1.25 -$625.00 $5,656.95
08/18/2011 Divi TESS 100 $0.15 $15.00 $6,281.95
08/18/2011 Sell AUTO 1,500 $0.55 $825.00 $6,266.95 -11.3%
08/18/2011 Sell DTRX 1,500 $10.00 $1,500.00 $5,441.95 14.9%
08/12/2011 Sell KTCC 100 $3.80 $380.00 $3,941.95 -32.5%
08/12/2011 Sell KTCC 100 $3.80 $380.00 $3,561.95 -29.4%
08/04/2011 Sell LEE 700 $0.75 $525.00 $3,181.95 -29.9%
07/29/2011 Sell BUKS 1,000 $0.661 $661.00 $2,656.95 50.2%
07/08/2011 Buy SKAS 5,000 $0.09 -$450.00 $1,995.95
07/01/2011 Sell OBCI 300 $3.6499 $1,094.97 $2,445.95 27.2%
06/28/2011 Sell FKWL 400 $2.52 $1,008.00 $1,350.98 -3.1%
06/15/2011 Buy JBII 100 $4.05 -$405.00 $342.98
06/15/2011 Buy IPMN 600 $1.42 -$852.00 $747.98
06/15/2011 Buy PBSV 2000 $0.39 -$780.00 $1,599.98
05/26/2011 Sell PYNGF 4000 $0.2395 $958.00 $2,379.98 -5.1%
05/26/2011 Sell BUKS 1000 $0.76 $760.00 $1,421.98 72.7%
05/25/2011 Divi TESS 100 $0.10 $10.00 $661.98
05/25/2011 Buy OBCI 300 $2.87 -$861.00 $651.98
05/19/2011 Buy FONR 300 $2.275 -$682.50 $1,512.98
05/17/2011 Buy ASTC 800 $1.00 -$800.00 $2,195.48
05/16/2011 Sell FKWL 600 $2.30 $1,380.00 $2,995.48 9.5%
05/16/2011 Sell SMID 500 $1.85 $925.00 $1,615.48 -1.6%
05/13/2011 Sell DJRT 7000 $0.04 $280.00 $690.48 -12.7%
05/13/2011 Sell DJRT 8000 $0.04 $320.00 $410.48 -22.8%
05/11/2011 Buy LEE 700 $1.07 -$749.00 $90.48
05/11/2011 Sell DAVE 40 $9.93 $397.20 $839.48 -7.2%
05/05/2011 Buy DTRX 150 $8.70 -$1,305.00 $442.28
05/05/2011 Sell AMLJ 500 $2.48 $1,240.00 $1,747.28 96.8%
05/05/2011 Buy SPIN 1500 $0.76 -$1,140.00 $507.28
04/29/2011 Buy TESS 100 $11.789 -$1,178.90 $1,647.28
04/21/2011 Sell MLKNA 200 $0.88 $176.00 $2,826.18 -29.6%
04/21/2011 Sell MLKNA 200 $0.88 $176.00 $2,650.18 -34.8%
04/21/2011 Buy PYT.V 4000 $0.2524 -$1,009.60 $2,474.18
04/11/2011 Sell TPCS 400 $1.98 $792.00 $3,483.78 96.0%
04/11/2011 Sell TPCS 200 $1.98 $396.00 $2,691.78 115.2%
04/05/2011 Buy EKCS 2000 $0.31 -$620.00 $2,295.78
03/25/2011 Buy LDRXF / LEA.V 1000 $1.182 -$1,182.00 $2,915.78
03/24/2011 Sell LRAD 400 $2.64 $1,056.00 $4,097.78 10.0%
03/21/2011 Buy UPG 300 $4.139 -$1,241.70 $3,041.78
03/16/2011 Sell IAIC 4000 $0.19 $760.00 $4,283.48 18.8%
03/15/2011 Buy IBAL 1000 $0.68 -$680.00 $3,523.48
03/14/2011 Sell ZYXI 500 $0.83 $415.00 $4,203.48 29.7%
03/10/2011 Sell ZYXI 500 $0.75 $375.00 $3,788.48 17.2%
03/02/2011 Buy BUKS 2000 $0.44 -$880.00 $3,413.48
02/28/2011 Buy AUTO 1500 $0.62 -$930.00 $4,293.48
02/25/2011 Buy SNKI 100 $5.30 -$530.00 $5,223.48
02/23/2011 Sell ASRG 500 $3.00 $1,500.00 $5,753.48 201.0%
02/23/2011 Sell ASRG 250 $3.00 $750.00 $4,253.48 351.4%
02/22/2011 Buy DJRT 8000 $0.0518 -$414.40 $3,503.48
02/15/2011 Buy DAVE 40 $10.70 -$428.00 $3,917.88
02/15/2011 Buy FKWL 400 $2.60 -$1,040.00 $4,345.88
02/14/2011 Sell AMLJ 500 $2.07 $1,035.00 $5,385.88 64.3%
02/08/2011 Buy FKWL 600 $2.10 -$1,260.00 $4,350.88
02/04/2011 Buy INXSF / INX.V 4000 $0.2173 -$869.20 $5,610.88
02/04/2011 Sell TPCS 500 $1.86 $930.00 $6,480.08 96.9%
02/02/2011 Sell SMTX 200 $3.34 $668.00 $5,550.08 0.3%
01/18/2010 Buy SMID 500 $1.88 -$940.00 $4,882.08
01/12/2010 Buy ZYXI 1000 $0.64 -$640.00 $5,822.08
01/12/2010 Buy KTCC 100 $5.63 -$563.00 $6,462.08
01/05/2010 Buy SMTX 200 $3.33 -$666.00 $7,025.08
01/05/2010 Sell IEC 100 $8.65 $865.00 $7,691.08 76.1%
01/05/2010 Sell ASRG 750 $2.85 $2,137.50 $6,826.08 330.0%
01/05/2010 Sell IEC 100 $8.18 $818.00 $4,688.58 66.5%
12/28/2010 Buy LRAD 400 $2.40 -$960.00 $3,870.58
12/23/2010 Divi ASRG 1500 $0.16 $240.00 $4,830.58
12/15/2010 Buy DJRT 7000 $0.0458 -$320.60 $4,590.58
12/10/2010 Sell KLIC 100 $7.80 $780.00 $4,911.58 1.3%
12/07/2010 Sell AEY 250 $3.799 $949.75 $4,131.58 36.6%
12/02/2010 Buy ASRG 200 $1.05 -$210.00 $3,181.83
12/02/2010 Buy ASRG 300 $1.05 -$315.00 $3,391.83
12/02/2010 Buy MLKNA 200 $1.25 -$250.00 $3,706.83
11/30/2010 Buy MLKNA 200 $1.35 -$270.00 $3,956.83
11/17/2010 Buy INXSF / INX.V 5000 $0.1514 -$757.00 $4,226.83
11/10/2010 Sell EGAN 400 $1.29 $516.00 $4,983.83 12.2%
11/04/2010 Buy ASRG 1000 $0.70 -$700.00 $4,467.83
11/04/2010 Cover TSLA 20 $23.71 -$474.20 $5,167.83 -23.4%
11/03/2010 Sell PCCC 100 $8.43 $843.00 $5,642.03 1.6%
11/02/2010 Sell MPAA 75 $10.75 $806.25 $4,799.03 56.5%
10/29/2010 Cover VVUS -100 $7.63 -$763.00 $3,992.78 -20.2%
10/27/2010 Short VVUS 100 $6.35 $635.00 $4,755.78
10/27/2010 Buy PCCC 100 $8.295 -$829.50 $4,120.78
10/21/2010 Sell MPAA 75 $9.62 $721.50 $4,950.28 40.0%
10/13/2010 Buy TPCS 400 $1.01 -$404.00 $4,228.78
10/08/2010 Buy TPCS 700 $0.92 -$644.00 $4,632.78
10/07/2010 Buy EGAN 400 $1.15 -$460.00 $5,276.78
10/07/2010 Sell MASC 100 $5.20 $520.00 $5,736.78 17.4%
09/30/2010 Buy MASC 100 $4.43 -$443.00 $5,216.78
09/30/2010 Sell INTT 200 $3.10 $620.00 $5,659.78 -27.9%
09/29/2010 Sell INTT 200 $2.915 $583.00 $5,039.78 -32.2%
09/21/2010 Cover LAMR 20 $28.62 -$572.40 $4,456.78 -1.8%
09/17/2010 Buy JBII 200 $0.77 -$154.00 $5,029.18
09/16/2010 Sell VTRO 400 $2.20 $880.00 $5,183.18 -13.7%
09/16/2010 VTROD symbol changed to VTRO
09/10/2010 Buy JBII 200 $0.73 -$146.00 $4,303.18
09/10/2010 Buy IEC 200 $4.9118 -$982.36 $4,449.18
09/10/2010 Cover BC 40 $14.41 -$576.40 $5,431.54 -11.6%
08/25/2010 Short BC 40 $12.91 $516.40 $6,007.94
08/24/2010 Short TSLA 20 $19.22 $384.40 $5,491.54
08/23/2010 Cover ARNA -100 $6.88 -$688.00 $5,107.14 7.0%
08/20/2010 Short LAMR 20 $28.11 $562.20 $5,795.14
08/18/2010 VTRO 1/5 RS - New symbol VTROD
08/17/2010 Sell FKWL 300 $1.82 $546.00 $5,232.94 -9.9%
08/09/2010 Buy MPAA 150 $6.87 -$1,030.50 $4,686.94
08/06/2010 JBIIE symbol changed to JBII
08/05/2010 Buy AEY 250 $2.7815 -$695.38 $5.717.44
08/05/2010 Buy KLIC 100 $7.70 -$770.00 $6,412.82
08/03/2010 Buy GAXC 1000 $0.76 -$760.00 $7,182.82
08/03/2010 Sell UCIA 200 $2.06 $412.00 $7,942.82 -19.2%
08/02/2010 Short ARNA 100 $7.40 $740.00 $7,530.82
07/21/2010 Buy JBIIE 200 $0.99 -$198.00 $6,790.82
06/25/2010 Buy VTRO 2000 $0.51 -$1,020.00 $6,988.82
06/21/2010 Buy FKWL 300 $2.02 -$606.00 $8,008.82
06/16/2010 Buy KTCC 100 $5.39 -$539.00 $8,614.82
06/03/2010 Sell APNC 800 $0.85 $680.00 $9,153.82 -20.6%
05/28/2010 Divi UVIC 150 $0.09 $13.50 $8,473.82
05/27/2010 Sell AEY 200 $2.86 $572.00 $8,460.32 30.0%
05/27/2010 Sell AEY 200 $2.86 $572.00 $7,888.32 37.5%
05/27/2010 Sell IDSA 25 $16.40 $410.00 $7,316.32 1.4%
05/27/2010 JBII symbol changed to JBIIE
05/20/2010 Sell UVIC 150 $5.08 $762.00 $6,906.32 42.2%
05/18/2010 Sell IDSA 50 $18.07 $903.50 $6,144.32 79.8%
05/18/2010 Sell TELT 300 $0.50 $150.00 $5,240.82 -62.1%
05/13/2010 Buy INTT 400 $4.30 -$1,720.00 $5,090.82
05/13/2010 Sell VSTNQ 300 $1.35 $405.00 $6,810.82 -25.4%
05/12/2010 Sell VSYS 4000 $0.15 $600.00 $6,405.82 5.6%
05/06/2010 Cover DNDN -20 $49.50 -$990.00 $5,805.82 10.7%
05/06/2010 Sell BFDI 3000 $0.135 $405.00 $6,795.82 -10.0%
04/30/2010 Short DNDN 20 $55.42 $1,108.40 $6,390.82
04/30/2010 Buy VSTNQ 300 $1.81 -$543.00 $5,282.42
04/29/2010 Sell SMTX 100 $4.05 $405.00 $5,825.42 55.2%
04/27/2010 Sell KTCC 100 $5.98 $598.00 $5,420.42 7.7%
04/27/2010 Sell KTCC 100 $5.98 $598.00 $4,822.42 17.0%
04/26/2010 Buy JBII 100 $5.64 -$564.00 $4,224.42
04/23/2010 Buy KTCC 100 $5.5503 -$555.03 $4,788.42
04/21/2010 Sell SMTX 100 $3.90 $390.00 $5,343.45 49.4%
04/20/2010 Sell SMTX 100 $3.70 $370.00 $4,953.45 41.8%
04/20/2010 UVICF symbol changed to UVIC
04/19/2010 Buy IDSA 25 $16.18 -$404.50 $4,583.45
04/09/2010 Buy UCIA 200 $2.55 -$510.00 $4,987.95
03/31/2010 Buy APNC 800 $1.07 -$856.00 $5,497.95
03/25/2010 Sell STRN 100 $7.08 $708.00 $6,353.95 0.6%
03/11/2010 Sell DAAT 1000 $0.76 $760.00 $5,645.95 -15.5%
03/05/2010 Buy SMTX 300 $2.61 -$783.00 $4,885.95
03/05/2010 Buy STRN 100 $7.04 -$704.00 $5,668.95
03/02/2010 Sell ROIAK 250 $3.17 $792.50 $6,372.95 26.8%
02/26/2010 Divi UVICF 150 $0.09 $13.50 $5,580.45
02/24/2010 Buy KTCC 100 $5.11 -$511.00 $5,566.95
02/12/2010 Buy IDSA 50 $10.05 -$502.50 $6,077.95
02/12/2010 Buy AEY 200 $2.20 -$440.00 $6,580.45
02/11/2010 Sell MKRS 2500 $0.28 $700.00 $7,020.45 -6.7%
02/10/2010 Buy BFDI 3000 $0.15 -$450.00 $6,320.45
02/10/2010 Sell LBY 100 $9.37 $937.00 $6,770.45 63.0%
02/09/2010 Sell CMTX 999 $0.29 $289.71 $5,833.45 31.8%
02/09/2010 Sell LBY 100 $10.00 $1,000.00 $5,543.74 73.9%
02/08/2010 Sell ROIAK 250 $3.36 $840.00 $4,543.74 242.9%
02/08/2010 Sell CMTX 2001 $0.20 $400.20 $3,703.74 -9.1%
02/05/2010 Buy TELT 300 $1.32 -$396.00 $3,303.54
01/28/2010 Sell GAXC 700 $1.01 $707.00 $3,699.54 26.3%
01/21/2010 Sell BFDI 3000 $0.235 $705.00 $2,992.54 67.9%
01/14/2010 Sell TBUS 400 $1.72 $688.00 $2,287.54 -28.6%
01/08/2010 Sell GAXC 400 $1.04 $416.00 $1,599.54 30.0%
01/04/2010 LYBI uplisted to AMEX. New symbol LBY.
12/17/2009 Buy CMTX 3000 $0.22 -$660.00 $1,183.54
12/16/2009 Buy AEY 200 $2.08 -$416.00 $1,843.54
12/16/2009 Buy BFDI 3000 $0.14 -$420.00 $2,259.54
12/15/2009 Sell EGMI 450 $1.22 $549.00 $2,679.54 -16.4%
12/15/2009 Sell EGMI 450 $1.25 $562.50 $2,130.54 -14.4%
12/09/2009 Buy ROIAK 250 $2.50 -$625.00 $1,568.04
12/01/2009 Buy MKRS 2500 $0.30 -$750.00 $2,193.04
11/30/2009 Sell BFDI 4000 $0.18 $720.00 $2,943.04 50.0%
11/30/2009 Buy IAIC 4000 $0.16 -$640.00 $2,223.04
11/25/2009 Buy VSYS 4000 $0.142 -$568.00 $2,863.04
11/23/2009 Buy UVICF 150 $3.70 -$555.00 $3,431.04
11/19/2009 Buy JBII 300 $1.10 -$330.00 $3,986.04
11/13/2009 Sell ASRG 350 $3.35 $1,172.50 $4,316.04 147.6%
11/13/2009 Sell ASRG 350 $3.30 $1,155.00 $3,143.54 143.9%
11/12/2009 Buy BFDI 4000 $0.12 -$480.00 $1,988.54
11/11/2009 Sell OPTV 400 $1.55 $620.00 $2,468.54 1.3%
11/10/2009 Buy LYBI 200 $5.75 -$1,150.00 $1,848.54
11/05/2009 Sell UVE 100 $6.07 $607.00 $2,998.54 12.0%
11/03/2009 Buy OPTV 400 $1.53 -$612.00 $2,391.54
11/03/2009 Buy UVE 100 $5.42 -$542.00 $3,003.54
10/30/2009 Buy AMLJ 1000 $1.26 -$1,260.00 $3,545.54
10/22/2009 Sell RODM 150 $5.10 $765.00 $4,805.54 -15.3%
10/15/2009 Sell ROIAK 250 $1.75 $437.50 $4,040.54 78.6%
10/01/2009 Buy ASRG 700 $1.3528 -$946.96 $3,603.04
10/01/2009 Buy TBUS 400 $2.41 -$964.00 $4,550.00
10/01/2009 Buy ROIAK 500 $0.98 -$490.00 $5,514.00
10/01/2009 Buy RODM 150 $6.02 -$903.00 $6,004.00
10/01/2009 Buy GAXC 1100 $0.80 -$880.00 $6,907.00
10/01/2009 Buy EGMI 900 $1.46 -$1,314.00 $7,787.00
10/01/2009 Buy DAAT 1000 $0.899 -$899.00 $9,101.00
10/01/2009 Deposit Cash $10,000.00 $10,000.00
Happy New Year Everyone!
I'll be much more active in the markets next year. Stay tuned....
Sell 500 shares of ALJJ for the SwingTrade Portfolio at $4.40.
ALJJ is out with a great report of fiscal Q4 EPS of $0.20 and a bullish commentary. I picked up some shares on the news which has limited information. The stock is soaring. ALJJ is a SwingTrade Portfolio position.
http://www.otcmarkets.com/stock/ALJJ/news?id=94517
Sell 10000 shares of CCNI for the SwingTrade Portfolio. I'm not comfortable with their concentration in the oil patch. It may or may not be a problem for them but we would rather sit on the sidelines at least for a while. It is a good company with great management so it will continue to be watched.
Sell 5000 shares of SKAS for $0.083 for the SwingTrade Portfolio.
Empowering Management
http://microcapclub.com/2014/12/empowering-management/
I recommend subscribing to MicroCapClub blog posts by entering your e-mail address on the right side of this page:
http://microcapclub.com/blog/
Thanks to whoever sold me shares of PFHO at $35.20.
I have found that a Rat Zapper is pretty effective with chipmunks. I use sunflower seeds as bait. I use it with their enclosure which is like a tupperware container with a hole by the entrance. You need something like that if you are using it outside as the Rat Zapper is not waterproof.
http://www.amazon.com/Rat-Zapper-Ultra-Rodent-RZU001/dp/B00CM859OA/?_encoding=UTF8&camp=1789&creative=9325&linkCode=ur2&tag=ratzap-20
I'm not generally a fan of commodity stocks but I may look at them.
I'm still here. I am out at the LD Micro conference now. I'll be back to posting more regularly next week.
VirTra Releases 2014 Third Quarter Financial Results
TEMPE, AZ--(Marketwired - Nov 14, 2014) - VirTra Systems (PINKSHEETS: VTSI), a leading provider of firearms simulators to military, law enforcement agencies and other organizations, today announced the release of its 2014 third quarter financial statements. The financial statements are available on VirTra's website and here.
Mark Skidmore, VirTra's Vice President & Chief Accounting Officer, said, "The profitable third quarter demonstrates the variability in recognized revenue from quarter to quarter and is the historical nature of VirTra Systems' business to date. However, the Company's nearly $11 million in record sales/purchase orders booked in the third quarter positions the Company's revenue to be strong over the next two to three quarters."
Third Quarter 2014 Financial Summary:
Net Sales for the quarter decreased 20% to $2.2 million compared to $2.7 million in the third quarter of 2013. The main reason for this difference is large multi-year projects with milestones in the first three quarters of 2013, but fewer milestones for 2014. These variations are reduced when reviewing a one year period versus a quarterly period.
Gross margin for the quarter was 49% of Net Sales, compared to 68% last year. The drivers for the decrease, similar to second quarter 2014, are primarily due to client paid customization projects which means some salaries were recorded in Cost of Products Sold, instead of in Sales, General and Administrative (SG&A). In addition, the lower Net Sales for the quarter contributed to this difference.
SG&A expenses of $1.0 million are level with third quarter 2013. As a percent of revenue, SG&A was 47% compared to 37% in third quarter 2013. The percentage increase is mainly the result of comparing SG&A to lower Net Sales. In addition, a portion of SG&A resources were assigned to client paid customization projects.
Income from operations decreased $0.8 million to $0.1 million, compared to income of $0.8 million in third quarter 2013. This decrease was largely due to higher Net Sales in 2013 as compared to 2014.
Through September 30, 2014, the Company used $0.8 million in cash from operating activities to fulfill orders secured by deposits. Cash and cash equivalents were $1.5 million, down from $1.8 million at third quarter 2013.
The Company has no outstanding balance due on its line of credit as of September 30, 2014.
Bob Ferris, Chief Executive Officer of VirTra, commented, "One of VirTra's key objectives for 2014 was to increase market penetration by expansion of our national footprint with military and law enforcement agencies in the United States, in addition to investing in development of the Company's international presence. I am incredibly proud of our talented employees' work and steadfast dedication to our stakeholders that enabled us to meet those goals through the first nine months of operations. The Company's recent one quarter performance of nearly $11 million of purchase orders is validation of VirTra's ability to expand our position in the marketplace and we look forward to delivering on those orders in the coming quarters."
About VirTra Systems
VirTra is a global leading provider of the world's most realistic and effective shooting simulators. VirTra is the higher standard in firearms training simulators, offering a variety of simulator platforms, powerful gas-powered recoil kits and the patented Threat-Fireā¢ simulated hostile return fire system. VirTra's products provide the very best simulation training available for personnel that are entrusted with lethal force and critical missions. The Company's common stock is not registered under the Securities Exchange Act of 1934 and the Company does not currently file periodic or other reports with the Securities and Exchange Commission.
www.VirTra.com
Forward-looking Statements
This news release includes certain information that may constitute forward-looking statements made pursuant to the safe harbor provision of the Private Securities Litigation Reform Act of 1995. Forward-looking statements are typically identified by terminology such as "will," "expects," "anticipates," "future," "intends," "plans," "believes," "estimates," "proposed," "planned," "potential" and similar expressions, or are those, which, by their nature, refer to future events. All statements, other than statements of historical fact, included herein, including statements about VirTra's beliefs and expectations, are forward-looking statements. Forward-looking information is necessarily based upon a number of assumptions that, while considered reasonable, are subject to known and unknown risks, uncertainties and other factors which may cause the actual results and future events to differ materially from those expressed or implied by such forward-looking information. Although VirTra believes that such statements are reasonable, it can give no assurance that such forward-looking information will prove to be accurate. VirTra cautions investors that any forward-looking statements by the Company are not guarantees of future results or performance, and that actual results may differ materially from those in forward-looking statements as a result of various factors. Accordingly, due to the risks, uncertainties and assumptions inherent in forward-looking information, readers and prospective investors in the Company's securities should not place undue reliance on forward-looking information. All forward-looking information contained in this press release is given as of the date hereof, is based upon the opinions and estimates of management and information available to management as at the date hereof and is subject to change. The Company assumes no obligation to revise or update forward-looking information to reflect new circumstances, whether as a result of new information, future events or otherwise, except as required by law.
VIRTRA SYSTEMS, INC. BALANCE SHEETS as of:
September 30, 2014 December 31, 2013
(unaudited) (audited)
Assets
Current assets:
Cash and cash equivalents $ 1,468,780 $ 2,358,955
Accounts receivable 1,844,625 786,877
Inventory 614,012 407,434
Prepaid expenses and other current assets 77,489 44,902
Total current assets 4,004,906 3,598,168
Property and equipment, net 369,074 460,513
Total assets $ 4,373,980 $ 4,058,681
Liabilities and Stockholders' Equity
Current liabilities:
Accounts payable $ 379,533 $ 289,820
Accrued compensation and related costs 429,257 588,097
Accrued expenses and other current liabilities 112,488 153,875
Deferred revenue 1,528,205 1,516,792
Total current liabilities 2,449,483 2,548,584
Long-term liabilities:
Accrued rent liability - long-term 107,779 144,990
Total liabilities 2,557,262 2,693,574
Commitments and contingencies
Stockholders' equity:
Preferred stock $0.005 par value; 2,000,000 shares authorized; no shares issued or outstanding as of December 31, 2013 and 2012 - -
Common stock $0.005 par value; 500,000,000 shares authorized; 158,328,245 shares issued and 158,285,045 shares outstanding as of December 31, 2013 and 2012, respectively 791,641 791,641
Additional paid-in capital 13,217,283 13,144,044
Treasury stock at cost, 43,200 common shares as of December 31, 2013 and 2012, respectively (2,981 ) (2,981 )
Accumulated deficit (12,189,225 ) (12,567,597 )
Total stockholders' equity 1,816,718 1,365,107
Total liabilities and stockholders' equity $ 4,373,980 $ 4,058,681
VIRTRA SYSTEMS, INC. STATEMENTS OF OPERATIONS for the period:
Three months ended September 30, Nine months ended September 30,
2014 2013 2014 2013
Net revenues $ 2,161,542 $ 2,712,459 $ 6,230,206 $ 6,772,369
Cost of products sold 1,093,033 869,044 2,810,312 2,129,482
Gross margin 1,068,509 1,843,415 3,419,894 4,642,887
General and administrative expenses 1,009,964 998,897 3,038,436 3,394,669
Income from operations 58,545 844,518 381,458 1,248,218
Other income/(expense):
Other income 1,659 33 1,659 62
Other expense (8,172 ) (8,232 ) (4,745 ) (14,226 )
Net other income/(expense) (6,513 ) (8,199 ) (3,086 ) (14,164 )
Income before income taxes 52,032 836,319 378,372 1,234,054
Income tax expense/(benefit) - - - -
Net income. $ 52,032 $ 836,319 $ 378,372 $ 1,234,054
Weighted average of common and common equivalent shares outstanding:
-Basic 158,285,045 158,285,045 158,285,045 158,285,045
Net income per common and common equivalent share:
-Basic $ 0.00 $ 0.01 $ 0.00 $ 0.01
VIRTRA SYSTEMS, INC. STATEMENTS OF STOCKHOLDERS' (DEFICIT)/EQUITY for the period:
Common stock
Shares
Amount Additional
paid-in capital Treasury
Stock Accumulated
Deficit
Total
Balance at January 1, 2013 158,285,045 $ 791,641 $ 13,032,498 $ (2,981 ) $ (14,148,373 ) $ (327,215 )
Net income - - - - 1,580,776 1,580,776
Stock-based compensation - - 111,546 - - 111,546
Balance at December 31, 2013 158,285,045 791,641 13,144,044 (2,981 ) (12,567,597 ) 1,365,107
Net income - - - - 378,372 378,372
Stock-based compensation - - 73,239 - - 73,239
Balance at September 30, 2014 158,285,045 $ 791,641 $ 13,217,283 $ (2,981 ) $ (12,189,225 ) $ 1,816,718
VIRTRA SYSTEMS, INC. STATEMENTS OF CASH FLOWS for the period:
Nine months ended September 30,
2014 2013
Cash flows from operating activities:
Net income $ 378,372 $ 1,234,054
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation and amortization 146,083 159,449
Stock-based compensation 73,239 71,275
Changes in operating assets and liabilities:
Accounts receivable (1,057,748 ) (116,472 )
Inventory (206,578 ) (204,282 )
Prepaid expenses and other assets (32,587 ) 9,814
Accounts payable and other accrued expenses (147,725 ) 175,945
Deferred revenue 11,413 393,397
Due to related parties - -
Net cash provided/(used) by operating activities (835,531 ) 1,723,180
Cash flows from investing activities:
Purchase of property and equipment (54,644 ) (39,819 )
Net cash used in investing activities (54,644 ) (39,819 )
Cash flows from financing activities:
Draws on line of credit - 150,000
Repayments of line of credit - (150,000 )
Proceeds from term loan - -
Payments on term loan - (224,135 )
Purchase of common stock - -
Net cash used in financing activities - (224,135 )
Increase/(decrease) in cash and cash equivalents (890,175 ) 1,459,226
Cash and cash equivalents, beginning of period 2,358,955 372,119
Cash and cash equivalents, end of period $ 1,468,780 $ 1,831,345
Cash paid during the period for:
Interest $ - $ 7,738
Taxes $ - $ -
/
Contact:
Investor Relations Counsel
Rudy R. Miller
Chairman, President & CEO
The Miller Group
www.themillergroup.net
tel: 602.225.0505
email: virtra@themillergroup.net
ALJ Regional Holdings Quarter Ending September 30, 2014
NEW YORK, Nov. 12, 2014 /PRNewswire/ -- For the quarter ended September 30, 2014, ALJ Regional Holdings, Inc. (Pink Sheets: ALJJ) expects revenue from its Faneuil subsidiary to be in the range of $34.3 million to $36.1 million as compared to revenue of $35.0 million for the quarter ended June 30, 2014. Comparable year-over-year revenue is not available as ALJJ did not own Faneuil in the year ago quarter.
For the quarter ended September 30, 2014, ALJJ expects revenue from its Carpets subsidiary to be in the range of $8.1 million to $8.5 million as compared to revenue of $8.3 million for the quarter ended June 30, 2014. Comparable year-over-year revenue is not available as ALJJ did not own Carpets in the year ago quarter.
Complete detailed results will be issued following completion of the annual audit near calendar year-end.
ALJ Regional Holdings, Inc. is the parent company of Faneuil, Inc., a leading provider of outsourcing and co-sourced services to both commercial and government entities in the healthcare, utility, toll and transportation industries and Floors-N-More, LLC, dba Carpets N' More, one of the largest floor covering retailers in Las Vegas and a provider of multiple finishing products for commercial, retail and home builder markets including all types of flooring, countertops, cabinets, window coverings and garage/closet organizers, with 5 retail locations.
This press release contains forward-looking statements that are subject to change. In particular, the company's estimated results are subject to completion of the Company's closing process and the results of its audits. In addition, the company's operations and results are subject to a number of risks that are detailed in the company's most recent Quarterly Report published on PinkSheets.com.