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Comments:

<0> Total portfolio value for jcv is 0.0 +7.14% ($130.0) gain.
<1> .p2
<2> Portfolio:
<2> GMK 100.00 (14.6200) 1462.00 +10.93%
<2> BLX 100.00 (17.0600) 1706.00 -6.78%
<2> IRBT 50.00 (36.4000) 1820.00 +7.82%
<2> MOT 100.00 (23.2500) 2325.00 -3.37%
<2> ENDP 100.00 (28.3500) 2835.00 -5.37%
<2> ARDI 100.00 (5.3200) 532.00 -1.48%
<2> DRL 100.00 (10.7100) 1071.00 +0.66%
<2> Total portfolio value for jcv is 51.0 -0.77% ($-91.00) loss
<1> .p
<2> Portfolio:
<2> PHJ 100.00 (15.6300) 1563.00 +0.90%
<2> PFM 100.00 (15.3400) 1534.00 +0.26%
<2> PWB 100.00 (16.4000) 1640.00 +2.56%



<2> PWJ 100.00 (18.1600) 1816.00 +3.65%
<2> PWT 100.00 (17.6600) 1766.00 +4.81%
<2> PWV 100.00 (16.6700) 1667.00 +2.77%
<2> PWP 100.00 (16.9200) 1692.00 +2.24%
<2> PWY 100.00 (16.2500) 1625.00 +3.90%
<2> Total portfolio value for jcv is 03.0 +2.68% ($347.00) gain
<1> !q mot
<0> MOT - MOTOROLA INC- 23.25 +1.01 +4.33% (7974000) Daily Range: [------------------] -84% (23.78 24.41) Yearly Range: [++++++++--] 83% (14.48 24.99)
<1> !return 23.25 25
<0> The Return rate for 23.25 -> 25 is: 7.52688172043%
<1> man
<1> silly analysts
<3> ?
<1> i dont understand why people take them so serious
<1> they are just forecasting
<4> .p
<2> Portfolio:
<3> ...yea. It's killing me.
<2> GOOG 10.00 (438.0300) 4380.30 +35.03%
<2> UNH 50.00 (61.4700) 3073.50 +2.14%
<2> Total portfolio value for T_Roy is 3.8 +19.20% ($1200.80) gain
<1> motorola is fundamentally sound
<4> !q abt mcz goog
<0> ABT - ABBOTT LABORATORI- 41.54 +0.464 +1.13% (042400) Daily Range: [++++++++--] 85% (40.40 41.73) Yearly Range: [+++-------] 32% (37.50 50.00)
<0> MCZ - MAD CATZ INTERACT- 0.73 +0.01 +1.39% (20000) Daily Range: [++++++++++] 100% (0.71 0.73) Yearly Range: [----------] 7% (0.64 1.83)
<0> GOOG - GOOGLE- 438.03 -8.4649 -1.90% (4539830) Daily Range: [++--------] 24% (433.00 453.49) Yearly Range: [++++++++--] 87% (172.57 475.11)
<3> ...yea. It's killing me. I closed MOT, and probably should have closed on AAPL until settled.
<3> !p
<0> AAPL 501 (79.28) 39719.28 -5.11% (2006-01-19)
<1> everything today was good, although guidance was just shy of what "the street" wanted...**** 'the street'
<0> DEPO 150 (6.95) 1042.5 -0.86% (2006-01-19)
<0> QQQQ 50 (42.44) 2122.0 +3.24% (2006-01-19)
<0> TEVA 100 (43.00) 4300.0 -0.81% (2006-01-19)
<1> !q motde.x
<0> VEIEX 190 (20.36) 3868.4 +1.75% (2006-01-19)
<0> YHOO 100 (34.40) 3440.0 -2.05% (2006-01-19)
<0> Total portfolio value for p1 is 92.18 -3.75% ($-2122.87) loss.
<0> MOTDE.X - MOT Apr 2006 25.0- 1.45 +0.45 +45.00% (848) Daily Range: [++++++++++] 100% (1.10 1.45) Yearly Range: N/A (N/A N/A)
<5> !q motbe.x
<0> MOTBE.X - MOT Feb 2006 25.0- 0.80 +0.30 +60.00% (7883) Daily Range: [+++++++---] 71% (0.55 0.90) Yearly Range: N/A (N/A N/A)
<1> i bought one contract of MOTDE.X @ 1.20
<1> tomorrow it should be worth like .25
<1> lol
<1> maybe .05
<3> !q NBL
<0> NBL - NOBLE ENERGY INC- 43.69 +0.80 +1.87% (438900) Daily Range: [+++++++++-] 92% (42.00 43.83) Yearly Range: [+++++++---] 74% (28.85 48.75)
<1> .yhoo mot
<2> Yahoo! Finance for MOT: http://finance.yahoo.com/q?s=MOT
<1> the company admitted that supply bottlenecks hurt handset sales in the latest quarter. Even so, CEO Ed Zander told investors on a postclose conference call that the mobile-phone division "hit the ball out of the park" and promised the issues wouldn't hurt the first quarter.
<1> Excluding those gains, the fourth quarter's 35-cent adjusted profit beat Wall Street's expectations by a penny.
<1> Motorola also provided in-line guidance on its first quarter ending in March, forecasting a profit of 28 cents a share on sales of $9.4 billion.
<1> !return 10.43 10.5
<0> The Return rate for 10.43 -> 10.5 is: 0.671140939597%
<1> that's silly
<1> !return 10.5 10.43
<0> The Return rate for 10.5 -> 10.43 is: -0.666666666667%
<1> 0.66% off
<1> cause the stock to tip 5%
<5> didnt they want forecast of $10bn
<1> 10.5
<1> and they came in with 10.43



<1> i think the selloff was unwarranted
<5> doesnt this mean that analysts won't expect as much next qtr
<5> and mot should be able to beat easily
<1> yeah
<1> in theory
<1> i wouldn't be surprised if some ****head analyst comes out and upgrades mot
<1> that would only make for more confusino
<1> confusions
<1> -=s
<1> -s
<1> confusion!
<1> well, a $25 call for april
<1> isn't so bad
<1> fundamentally, motorola is doing everything right
<1> lowering debt
<1> lowering costs
<1> so on so forth
<1> !del yhqbu.x
<0> 1 symbol(s) deleted.
<1> !p
<0> MOTBE.X 1000 (0.80) 800.0 +60.0% (2006-01-18)
<0> MOTNX.X 1000 (0.40) 400.0 -20.0% (2006-01-18)
<0> QAANP.X 100 (4.00) 400.0 +81.82% (2006-01-17)
<0> Total portfolio value for jcv is 0.0 +31.15% ($380.0) gain.
<1> !del qaanp.x
<0> 1 symbol(s) deleted.
<1> !del motbe.x
<0> 1 symbol(s) deleted.
<1> !del motnx.x
<0> 1 symbol(s) deleted.
<1> !add motde.x 100 1.20
<0> Symbol motde.x added.
<1> !p
<0> MOTDE.X 100 (1.45) 145.0 +20.83% (2006-01-19)
<0> Total portfolio value for jcv is .0 +20.83% ($25.0) gain.
<6> !q abx
<0> ABX - BARRICK GOLD CP- 30.35 +1.23 +4.22% (340800) Daily Range: [+++++++++-] 96% (29.37 30.39) Yearly Range: [+++++++++-] 98% (21.07 30.46)
<1> !q ivan
<0> IVAN - IVANHOE ENERGY IN- 2.76 -0.0699 -2.43% (8723184) Daily Range: [+---------] 14% (2.65 3.43) Yearly Range: [+++++++---] 75% (0.99 3.34)
<1> !calc 131.74 / 100
<0> 131.74 / 100 = 1.3174
<1> !del motde.x
<0> 1 symbol(s) deleted.
<1> !add motde.x 100 1.3174
<0> Symbol motde.x added.
<1> !p
<0> MOTDE.X 100 (1.45) 145.0 +10.07% (2006-01-19)
<0> Total portfolio value for jcv is .0 +10.07% ($13.26) gain.
<7> !q mot
<0> MOT - MOTOROLA INC- 23.25 +1.01 +4.33% (8004500) Daily Range: [------------------] -84% (23.78 24.41) Yearly Range: [++++++++--] 83% (14.48 24.99)
<7> well well
<1> ?
<1> well well what
<7> hope JJ didn't short that
<1> uh
<1> if he did
<1> he made money
<1> because
<1> mot is down 5%
<1> afterhours
<7> really?
<1> !return 24.41 23.25
<7> hmm
<0> The Return rate for 24.41 -> 23.25 is: -4.75215075789%
<1> yeah
<1> it took a dive
<1> which is silly
<1> anyways
<7> does this bot do after hours?
<1> i bought an option
<1> yeah
<1> !q mot
<0> MOT - MOTOROLA INC- 23.25 +1.01 +4.33% (8004500) Daily Range: [------------------] -84% (23.78 24.41) Yearly Range: [++++++++--] 83% (14.48 24.99)
<1> see


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