Performance Record

Private Subscriber Closed Positions (since December 2015)

2017 magicJack 17% gain, Buy-Out

2017 eGain 56% gain

2017 YUME, 90% gain, Buy-Out

2017 Max Point, 60% gain

2017 Tremor Video, 25% gain

2017 ShoreTel 24% gain, Buy-Out

2017 MRVC Comm. 6% loss, Buy-Out

2017 Ceragon Networks 5% gain

2017 Angie’s List 60% gain, Buy-Out

2017 Lantronix 135% gain

2017 Syneron Medical 46% gain, Buy-Out

2017 RocketFuel 140% gain

2017 Undisclosed spin-off .1% gain

2017 Harmonic 74% gain

2016 Ceragon Networks 48% gain

2016 Alphatec 71% gain

2016 Universal Insurance 36% gain

2016 Mitel Networks 15% gain

2016 Avid Technology 50% gain

2016 Silicon Graphics 70% gain, Buy-out

2016 Imatron 30% gain

2016 Harmonic 80% gain

2016 United Online 5% loss, Buy-out

 

Since our beginning, we have closed out the following positions: 

2017 CCUR +90%

2016 GSL -3%

2016 CRNT +64%

2016 ARIS +210%

2016 MTSL-9%

2016 DXM -98%

2016 CKP +48%-Buy-out

2015-TSYS +260%-Buy-out

2015-CTIG +119%-Buy-out

2015-DAEG -24%-Buy-out

2015-UNTD +66%

2015-SIGM +1%

2015-MRVC +128%

2015-ENVI +109%-Buy-out

2014-AVNW-28%

2014-CBEY +37%-Buy-out

2014-GRVY -36%

2014-XRSC-+270%-Buy-out

2013-INUV -83% Held this since 2007. Failed business model.

2013-ASTX-+40%

2013-MGCD-+79%

2013-LXK +2%

2013-AGYS +41%

2013-DRIV+31%

2013-EXTR +63%

2013-MITL +183%

2013-QADA +51%

2012-BVSN +30%

2012-TISA +137%

2012-PTIX -44%

2012-MTSL +157%

2012-LTUS -98% No more Chinese stocks for us

2012-AEZS -63% a bad speculation.

2012-RIMG -46% (including dividends)

2012-HPOL +34% (4th trip)-bought out in 2013

2012-MEDW +133% (Buyout 1 week AFTER we sold this)

2012-SPNC +118%

2012-RWWI +1%

2012-MOTR -29% (lost biggest customer contract)

2011-DWCH +116%

2011-IPAS +15%

2011-PRM +56% Buyout (1 week after we recommended it)

2011-RST +12%

2011-NINE -10%

2010-HPOL +110%

2010-DIVX +25%

2010-CHRD +37% Buyout (2 weeks after we recommended it)

2010-HPOL +30%

2010-MGIC +82%

2010-GSL +78%

2010-CCEL +49%

2010-HPOL +27% (third trip)

2010-CAW EVEN (excluding 2.5 years of dividends)

2009-MBRK +67%

2009-SNWL +14%

2009-CYNO +25%

2009-DTLK +33% (fourth trip on this)

2009-NED +46%

2009-CUTR +13%

2009-HSTM +67% (continued good earnings)

2009-RNWK +36%

2009-OPK +116%

2009-CLZR -32% (a loser even on a buy-out)

2009-DTLK +28% (our 5th profitable trip on this one)

2008-ANGN +26%

2008-OPTO.ob +40% (Buy-out offer)

2008-PDLI +9% (company split, and special dividend)

2008-BDAY -39% (long overdue takeover offer-or “take-under”)

2008-DTLK +40% (third trip on this one)

2008-ILOG +26% (Buy-out offer from IBM)

2008-PARL +56%

2007-IYXI.ob +44% (Buyout offer)

2007-MOBI +47% (Buyout offer)

2007-INFT +11% (Buyout offer)

2007-RITT +62%

2007-MIVA +55%

2007-DTLK +25% (2 weeks)

2007-PDLI + 3%

2007-QADI +25%

2007-CIMT +50%

2007-BDR +19%

2007-LINN.ob -57% (mortgage business bust didn’t help here)

2007-TISA -39% (take some tax loss for 2007 due to disappointing results.

2006-NTCT +44%

2006-ONXS +11% (Buyout offer)

2006-DTLK +41%

2006-CAW +21% (Buyout offer)

 

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