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<0> CMG (CHIPOTLE MEXICAN) - 4:01pm: .00 Change(+22.00 +100.00%) / Opened(45.00) Lastclose(22.00) / Range: Daily(39.51 - 48.28) Yearly(0.00 - 0.00) / Volume(13219300)
<1> or that china ****
<1> chnr
<2> yeah
<2> !Q CHNR
<0> CHNR (CHINA NATURAL RES) - 3:59pm: .00 Change(+4.60 +85.19%) / Opened(5.55) Lastclose(5.40) / Range: Daily(5.31 - 10.48) Yearly(2.75 - 8.25) / Volume(2987090)
<3> .q egle
<4> EGLE (eagle bulk shippi) last: 12.69 +0.53 4.18% , range: 12.13-12.70, vol: 355282
<3> !calc 2/18.00
<5> 2/18.00 = 0.111111111111
<3> !calc 2/13.00
<5> 2/13.00 = 0.153846153846
<3> !calc 2/14.50
<5> 2/14.50 = 0.137931034483
<6> .p2
<7> Portfolio:



<7> TPXNB.X 1000.00 (0.3000) 300.00 +0.00%
<7> MOTDE.X 100.00 (0.6000) 60.00 -50.00%
<7> Total portfolio value for jcv is .0 -14.29% ($-60.00) loss
<6> .p
<7> Portfolio:
<7> PHJ 100.00 (15.5800) 1558.00 +0.58%
<7> PFM 100.00 (15.2300) 1523.00 -0.46%
<7> PWB 100.00 (16.2200) 1622.00 +1.44%
<7> PWJ 100.00 (18.1800) 1818.00 +3.77%
<8> I was looking at a mutual fund and it has MONTHLY % earned at like 8 or 9% does that mean it is earning like 90% per year?
<7> PWT 100.00 (17.9300) 1793.00 +6.41%
<7> PWV 100.00 (16.5500) 1655.00 +2.03%
<7> PWP 100.00 (16.9300) 1693.00 +2.30%
<7> PWY 100.00 (16.4400) 1644.00 +5.12%
<7> HLTH 100.00 (8.9500) 895.00 -0.33%
<7> GOOG 1.00 (438.9100) 438.91 +2.07%
<8> I was looking at a mutual fund and it has MONTHLY % earned at like 8 or 9% does that mean it is earning like 90% per year?
<7> Total portfolio value for jcv is 39.91 +2.49% ($355.91) gain
<8> it says 3 year like at 20% is that 20% return on initial investment in 3 years?
<8> you multiply initial invest * .20 or do you compound interest ?
<9> investopedia
<10> .p
<8> been there but didnt explain this. I know how to figure compound interest but I dunt understand what this "return means".
<7> Portfolio:
<7> 140.KS 4.00 (120500.0000) 482000.00 -15.73%
<7> 9.HK 5000.00 (3.0000) 15000.00 +20.00%
<7> MMM 300.00 (72.7000) 21810.00 -5.51%
<7> 7.TW 1600.00 (3.5600) 5696.00 +21.50%
<7> 4.TW 1000.00 (10.1500) 10150.00 +6.28%
<7> WIPR.BO 50.00 (504.3000) 25215.00 +15.56%
<7> MIGP 8.00 (16.6100) 132.88 +21.77%
<7> 1.TW 100.00 (35.2000) 3520.00 -0.85%
<7> 8.TW 100.00 (31.0500) 3105.00 -4.17%
<7> 000.SS 180.00 (11.2700) 2028.60 +28.21%
<7> 571.SZ 200.00 (2.1400) 428.00 +15.05%
<8> like a 3 year yield is that including the compounding of the interest?
<7> 9.HK 300.00 (4.1500) 1245.00 +61.17%
<7> 000.KS 4.00 (18250.0000) 73000.00 -4.95%
<7> MMC 100.00 (30.8500) 3085.00 -4.16%
<7> MSN.DE 30.00 (24.2500) 727.50 -8.49%
<7> MSN.SG 30.00 (25.1500) 754.50 +1.21%
<7> MSN.F 30.00 (24.8700) 746.10 +0.20%
<7> MILL.OB 60.00 (1.2500) 75.00 +17.92%
<7> MEM 120.00 (0.9600) 115.20 -7.69%
<7> BP-.VX 100.00 (6.5400) 654.00 +0.19%
<7> MSN.BE 30.00 (24.5400) 736.20 -9.18%
<7> 018.SS 24.00 (10.7500) 258.00 +0.37%
<7> Total portfolio value for TimothyW is 481.98 -11.80% ($-86996.73) loss
<6> ligh6: you need to call someone up
<6> err
<6> zLight:
<2> whats the low down then jcv hows the investment
<6> at the moment
<6> it's ****ed
<6> but there's hope
<2> i see
<2> whats TPX at?
<2> green?
<6> doesn't matter
<6> what matters was the shifty earnings report
<6> these CEOs are crooks



<2> yah
<2> ****ers
<6> read everything here and see for yourself
<6> http://messages.yahoo.com/?action=q&board=TPX
<2> i gotta be off ill look
<6> lots of mixed sentiment
<2> yeah
<2> strange
<6> but you gotta read what people are saying
<6> it's interesting
<2> so your hoping the truth gets uncovered
<6> i still think we have a chance
<6> i'm hoping the smart money pulls out
<2> or it will slowly tank out
<6> and the dumb money gets ****ed in the ***
<2> lol
<2> ah
<2> what you mean the dumb money
<2> the 100milbuyback
<6> idiots who take the earnings report for what it says on the surface
<11> .p
<7> Portfolio:
<7> VGSTX 381.60 (20.0300) 7643.47 +7.17%
<7> VIMSX 287.33 (18.4500) 5301.20 +5.43%
<7> VWELX 227.51 (31.0300) 7059.51 +4.51%
<7> Total portfolio value for aflexMOBB is 04.18081 +5.76% ($1089.16) gain
<11> back in business
<2> yeah
<6> word
<2> haa
<11> 20K son!!
<2> im off
<2> seeya
<6> adios mo
<12> what do you think sell via mat and has
<11> check this nigguhs
<11> COACH
<11> .p2
<7> Portfolio:
<7> SIRI 1.00 (5.8200) 5.82 -4.75%
<7> PFE 1.00 (25.2400) 25.24 +1.41%
<7> COH 1.00 (35.7800) 35.78 +11.57%
<7> FFIV 1.00 (63.5300) 63.53 +4.25%
<7> LVMH.PA 1.00 (74.4500) 74.45 +0.54%
<7> BYD 1.00 (45.5800) 45.58 +4.64%
<7> LGF 1.00 (9.1000) 9.10 +1.00%
<7> SUNW 1.00 (4.4000) 4.40 +0.23%
<7> JSDA 1.00 (6.2500) 6.25 +0.16%
<7> AHC 1.00 (147.1100) 147.11 +0.76%
<7> BAC 1.00 (44.9000) 44.90 +2.14%
<7> Total portfolio value for aflexMOBB is .16 +2.42% ($10.94) gain
<13> aflex
<13> whats up
<11> sup man
<11> aim
<12> aflex need some stock advice
<12> i have shares in via has and mat do you recommand to sell or hold
<11> NICEWON i'm an amateur
<11> .p
<7> Portfolio:
<7> VGSTX 381.60 (20.0300) 7643.47 +7.17%
<7> VIMSX 287.33 (18.4500) 5301.20 +5.43%
<7> VWELX 227.51 (31.0300) 7059.51 +4.51%
<7> Total portfolio value for aflexMOBB is 04.18081 +5.76% ($1089.16) gain
<12> .p
<12> aflex how do you get that up
<13> type .addme
<12> .addme
<12> .add
<7> Usage: .add <ticker> <#shares> <price per share>
<12> . add via #1 4309
<12> .p


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