Last Update 11/12/98

Introduction

Currently We have three separate portfolios. Main, Monkey and Risk. Main basically represents the our best investment decisions. Monkey was created to contrast our selections. Method used to select the Monkey was to play Dart game with Wall Street Journal and select random hits. Risk portfolio denotes our choice of Possible money spinners, with weak credentials.

Portfolio Listing

Main

  • AAPL
  • SWY
  • CSCO
  • CPQ
  • MCRL
  • SBC
  • PMS
  • SUNW
  • SPLS
  • MCOM
  • ERICY
  • NSM
Net Gain/Loss : 5.73%

Monkey

  • DDRX
  • GLE
  • SWX
  • MKIE
  • PL
  • TCIX
  • AFA
  • MAK
  • BED
  • DM
  • FRE
  • ARSC
Net Gain/Loss : -2.05%

  • BOSTQ
  • SYSES
  • TDFX
  • BRCM
  • QTEC
  • BA
Net Gain/Loss : -3.3%

Home Page | Seminar or Event | Calendar | Directory of Related Links | Story Page

To contact us:

EMAIL: [email protected]