Portfolio changed:
sold 1.5k FRX, bought 4.5k ISTA
Oct. 25th: added 4.5k ISTA
Oct. 26th: sold all FRX
Oct. 27th:
BSDM is hot today, even think about to increase positions before earnings; sold all CPIX (+26% gain), transferred it in Hot Watch List
Oct. 28th: sold all AMLN (losses 3.5%), will buy
HGSI at low
Nov. 1th: sold all AVNR (don't want to fight with market), will keep BSDM before earning
Nov. 4th: sold ISTA (losses, even after good earnings)
Nov. 5th: bought DCTH.
Nov. 8th: bought BVX
Nov. 10th: sold BVX, bought CLSN (cold watch list)
Nov. 12th: sold all HGSI (too high risk, read here); set sell trigger for
DCTH at $10.20 limit.
Nov.15th: add
BSDM positions at average $6.60, bought
ISPH Nov. 17th: bought
PIP;
Nov. 18th: bought
CLDX;
Nov. 19th: short
MELA; added more
CLDX Nov. 23th: bought
NEOP.OB Nov. 24th: sold
PIP (profit); sold
CLSN (losses);
Nov. 29th: sold 50% of
BSDM; bought
PIP Nov. 30th: bought
INCY and
CBLI;
Dec. 02: bought 50 contracts of
HGSI Jan. 11 puts (HGSI110122P00021000);
Dec. 03: bought
HRBR;
Dec. 07: bought
CYTK; covered
MELA;
Dec.08: shorted
OREX; bought
CERS;
Dec.09: covered OREX;
Dec.10: bought GERN;
Dec. 14: sold
BSDM;
Dec. 15: bought
GNTA.OB;
Dec. 16: tomorrow I'll correct my portfolio (tax purpose). Read
here.
Dec. 17: sold
CLDX,
CYTK,
CERS, covered
JAZZ (
tax reason); shorted
ITMN;
Dec. 21: bought
DCTH;
Dec. 22: sold DCTH (losses);
Dec. 23: activated $16.90 stop for
INCY;
Dec. 27:
INCY sold at stop $16.90; shorted
XOMA;
Dec. 28: covered
ITMN and
XOMA; bought
ALXA;
BSDM;
ISTA;
Dec. 29: shorted
BTX; bought
SVNT;
Jan. 03: sold
ISPH; bought SPPI; covered
BTX;
Jan. 04: bought
AEN; shorted
XOMA;
Jan. 06: bought LXRX;
Jan. 07: covered
XOMA; shorted
OREX; sold
BSDM;
Jan. 10: bought
ILNS.OB;
Jan. 12: sold GERN; NEOP; AEN; ISTA; CBLI; PIP;
Jan. 13: sold LXRX; bought AMLN;
Jan. 14: sold ALXA;
Jan. 18: bought
CERS; sold BCRX; bought
NNVC; bought
PBTH;
Jan. 19: bought
OREX Feb. puts/calls
Jan. 20: bought
SPEX;
Jan. 21: bought
CBLI;
Jan. 24: added
HRBR;
Jan. 25: sold AMLN; CERS; 2/3 of NNVC; bought
ALXA;
Jan. 26: bought
LPTN; added
PBTH;
Jan. 27: sold ALXA, LPTN; bought GTHP; sold
OREX Feb. puts/calls; bought GERN;
Jan. 31: sold GTHP;
Feb. 01: cover
OREX; added
SPPI; opened
ALIM/PSDV positions;
Feb. 02: bought VVUS; XNPT; sold GERN;
Feb. 03: bought
NEOP; sold
NNVC; bought
AEN;
Feb. 04: added
HRBR.OB positions;