| Issue | Date | Subject |
| #8-327 | Dec 29 2010 | Bought AMRC |
| #8-326 | Dec 24 2010 | Weekly Status Report: YTD +13.1% (vs S&P500 +14.8%) |
| #8-325 | Dec 22 2010 | Sold GES -2.8% |
| #8-324 | Dec 21 2010 | Bought JBL |
| #8-323 | Dec 20 2010 | Sold LIWA -9.9% |
| #8-322 | Dec 18 2010 | Weekly Status Report: YTD +12.3% (vs S&P500 +13.6%) |
| #8-321 | Dec 17 2010 | Bought TTWO |
| #8-320 | Dec 15 2010 | Sold OVTI -7.2% |
| #8-319 | Dec 14 2010 | Bought LIWA; Sold SPY +3.5% |
| #8-318 | Dec 13 2010 | Bought DHX |
| #8-317 | Dec 11 2010 | Weekly Status Report: YTD +12.7% (vs S&P500 +13.3%) |
| #8-316 | Dec 9 2010 | Bought ASML, LULU; Sold SPY +2.4% |
| #8-315 | Dec 8 2010 | Sold KEM -3.8% |
| #8-314 | Dec 8 2010 | Bought KFY |
| #8-313 | Dec 7 2010 | Sold NEWN -4.6% |
| #8-312 | Dec 6 2010 | Bought TTMI; Sold SPY +2.0% |
| #8-311 | Dec 4 2010 | Weekly Status Report: YTD +10.0% (vs S&P500 +11.8%) |
| #8-310 | Dec 1 2010 | Bought KEM, OVTI |
| #8-309 | Dec 1 2010 | Market Timing Alert: BULLISH |
| #8-308 | Dec 1 2010 | Sold COH +12.5% |
| #8-307 | Dec 1 2010 | Bought SPY |
| #8-306 | Nov 30 2010 | Sold ASYS +10.3% |
| #8-305 | Nov 30 2010 | Sold CGNX -4.7% |
| #8-304 | Nov 30 2010 | Sold QQQQ -1.1% |
| #8-303 | Nov 30 2010 | Market Timing Alert: BEARISH |
| #8-302 | Nov 29 2010 | Bought GES |
| #8-301 | Nov 29 2010 | Sold CSTR +10.3% |
| #8-300 | Nov 27 2010 | Weekly Status Report: YTD +9.7% (vs S&P500 +8.5%) |
| #8-299 | Nov 24 2010 | Bought BKI |
| #8-298 | Nov 22 2010 | Bought DDIC |
| #8-297 | Nov 20 2010 | Weekly Status Report: YTD +7.3% (vs S&P500 +9.4%) |
| #8-296 | Nov 19 2010 | Sold WCC +6.4% |
| #8-295 | Nov 19 2010 | Sold SOHU +1.0% |
| #8-294 | Nov 18 2010 | Bought QQQQ |
| #8-293 | Nov 18 2010 | Market Timing Alert: BULLISH |
| #8-292 | Nov 17 2010 | Sold SIMG +3.6% |
| #8-291 | Nov 17 2010 | Sold MXIM +2.3% |
| #8-290 | Nov 17 2010 | Sold NEWP -3.4% |
| #8-289 | Nov 17 2010 | Sold BRCM -2.8% |
| #8-288 | Nov 17 2010 | Sold QNST +12.8% |
| #8-287 | Nov 17 2010 | Sold SMSI -8.5% |
| #8-286 | Nov 17 2010 | Sold IIVI -1.4% |
| #8-285 | Nov 16 2010 | Market Timing Alert: BEARISH |
| #8-284 | Nov 16 2010 | Bought NEWN |
| #8-283 | Nov 16 2010 | Sold NBIX -9.9% |
| #8-282 | Nov 16 2010 | Sold TTMI -10.1% |
| #8-281 | Nov 15 2010 | Bought ASYS |
| #8-280 | Nov 13 2010 | Weekly Status Report: YTD +8.8% (vs S&P500 +9.3%) |
| #8-279 | Nov 12 2010 | Sold NEWN -18.6% |
| #8-278 | Nov 10 2010 | Bought NBIX |
| #8-277 | Nov 10 2010 | Bought SMSI |
| #8-276 | Nov 10 2010 | Sold AIMC -3.3% |
| #8-275 | Nov 9 2010 | Sold OPEN -4.8% |
| #8-274 | Nov 9 2010 | Sold VICR -7.0% |
| #8-273 | Nov 8 2010 | Bought NEWN; Sold JKS +1.5% |
| #8-272 | Nov 6 2010 | Weekly Status Report: YTD +12.8% (vs S&P500 +11.7%) |
| #8-271 | Nov 5 2010 | Bought TTMI; Sold DDIC +0.5%, LDK +14.1% |
| #8-270 | Nov 4 2010 | Bought QNST; Sold ZAGG +7.1% |
| #8-269 | Nov 4 2010 | Bought OPEN; Sold DECK +1.0% |
| #8-268 | Nov 3 2010 | Bought AIMC |
| #8-267 | Nov 2 2010 | Sold ININ +16.7% |
| #8-266 | Nov 2 2010 | Bought CGNX; Sold GOOG +2.6% |
| #8-265 | Nov 2 2010 | Bought DDIC |
| #8-264 | Nov 1 2010 | Bought JKS |
| #8-263 | Nov 1 2010 | Bought CSTR; Sold QQQQ +2.1% |
| #8-262 | Nov 1 2010 | Bought NEWP |
| #8-261 | Oct 30 2010 | Weekly Status Report: YTD +8.2% (vs S&P500 +7.7%) |
| #8-260 | Oct 29 2010 | Bought DECK |
| #8-259 | Oct 29 2010 | Bought MXIM; Sold QQQQ +2.0% |
| #8-258 | Oct 29 2010 | Bought SOHU |
| #8-257 | Oct 28 2010 | Bought BRCM |
| #8-256 | Oct 27 2010 | Bought SIMG; Sold QQQQ +1.0% |
| #8-255 | Oct 26 2010 | Bought COH |
| #8-254 | Oct 26 2010 | Bought IIVI |
| #8-253 | Oct 26 2010 | Bought WCC; Sold QQQQ +1.0% |
| #8-252 | Oct 25 2010 | Bought LDK |
| #8-251 | Oct 25 2010 | Market Timing Alert: BULLISH |
| #8-250 | Oct 23 2010 | Weekly Status Report: YTD +7.6% (vs S&P500 +7.4%) |
| #8-249 | Oct 22 2010 | Bought VICR |
| #8-248 | Oct 20 2010 | Bought QQQQ |
| #8-247 | Oct 20 2010 | Bought QQQQ |
| #8-246 | Oct 19 2010 | Sold ORCL +6.9%, TQNT -0.5% |
| #8-245 | Oct 19 2010 | Sold ASYS +12.4%, FN +10.0%, GSM +7.3%, LDK -0.5%, LFT -3.9%, OCLR -12.5%, PVH +9.1%, SPY +0.3% |
| #8-244 | Oct 19 2010 | Market Timing Alert: BEARISH |
| #8-243 | Oct 18 2010 | Bought ZAGG |
| #8-242 | Oct 16 2010 | Weekly Status Report: YTD +11.6% (vs S&P500 +7.1%) |
| #8-241 | Oct 15 2010 | Bought GOOG, ININ; Sold CYBX -1.6%, SPY +1.1% |
| #8-240 | Oct 13 2010 | Bought LFT, TQNT; Sold SPY +1.7% |
| #8-239 | Oct 12 2010 | Bought LDK |
| #8-238 | Oct 11 2010 | Sold CGNX +23.4% |
| #8-237 | Oct 10 2010 | Weekly Status Report: YTD +7.7% (vs S&P500 +6.0%) |
| #8-236 | Oct 7 2010 | Bought SPY; Sold OPLK -1.5% |
| #8-235 | Oct 7 2010 | Bought SPY |
| #8-234 | Oct 6 2010 | Sold GIII -4.8%, LULU -4.4%, NANO -7.5%, OPNT -6.6%, ULTA +9.0% |
| #8-233 | Oct 6 2010 | Bought CYBX |
| #8-232 | Oct 5 2010 | Sold ASPS -4.2% |
| #8-231 | Oct 2 2010 | Weekly Status Report: YTD +8.8% (vs S&P500 +4.2%) |
| #8-230 | Oct 1 2010 | Sold CYBX +11.6% |
| #8-229 | Oct 1 2010 | Sold SOLR +8.4% |
| #8-228 | Oct 1 2010 | Sold CRUS +5.6% |
| #8-227 | Oct 1 2010 | Bought FN; Sold PAY +26.0% |
| #8-226 | Sep 30 2010 | Bought OPLK |
| #8-225 | Sep 29 2010 | Bought NANO |
| #8-224 | Sep 29 2010 | Bought OCLR |
| #8-223 | Sep 29 2010 | Sold GMCR -8.2% |
| #8-222 | Sep 28 2010 | Bought LULU; Sold SPY +6.9% |
| #8-221 | Sep 28 2010 | Bought GIII |
| #8-220 | Sep 27 2010 | Sold SPRD +18.4% |
| #8-219 | Sep 25 2010 | Weekly Status Report: YTD +7.4% (vs S&P500 +4.4%) |
| #8-218 | Sep 23 2010 | Bought ASPS |
| #8-217 | Sep 23 2010 | Bought CYBX |
| #8-216 | Sep 22 2010 | Sold GIII +3.5%, LULU +6.9% |
| #8-215 | Sep 21 2010 | Bought ASYS; Sold SPY +6.5% |
| #8-214 | Sep 20 2010 | Bought GSM |
| #8-213 | Sep 18 2010 | Weekly Status Report: YTD +4.8% (vs S&P500 +2.3%) |
| #8-212 | Sep 17 2010 | Bought ORCL; Sold SPY +5.2% |
| #8-211 | Sep 16 2010 | Bought OPNT |
| #8-210 | Sep 16 2010 | Sold NANO +3.5% |
| #8-209 | Sep 14 2010 | Bought SOLR |
| #8-208 | Sep 13 2010 | Bought CGNX; Sold SPY +5.7% |
| #8-207 | Sep 11 2010 | Weekly Status Report: YTD +0.7% (vs S&P500 +0.8%) |
| #8-206 | Sep 10 2010 | Bought LULU |
| #8-205 | Sep 8 2010 | Bought GMCR; Sold SPY +3.4% |
| #8-204 | Sep 8 2010 | Bought PVH |
| #8-203 | Sep 7 2010 | Sold RADS +10.5% |
| #8-202 | Sep 4 2010 | Weekly Status Report: YTD +2.8% (vs S&P500 +0.3%) |
| #8-201 | Sep 3 2010 | Bought ULTA |
| #8-200 | Sep 2 2010 | Bought SPRD; Sold SPY +2.4% |
| #8-199 | Sep 1 2010 | Bought CRUS |
| #8-198 | Sep 1 2010 | Bought GIII |
| #8-197 | Sep 1 2010 | Market Timing Alert: BULLISH |
| #8-196 | Sep 1 2010 | Bought SPY |
| #8-195 | Aug 31 2010 | Sold SOLR -0.1% |
| #8-194 | Aug 30 2010 | Bought SPY |
| #8-193 | Aug 28 2010 | Weekly Status Report: YTD -1.9% (vs S&P500 -3.3%) |
| #8-192 | Aug 27 2010 | Bought SPY |
| #8-191 | Aug 26 2010 | Bought PAY |
| #8-190 | Aug 23 2010 | Sold IDSA -15.1%, ZSTN -16.2% |
| #8-189 | Aug 21 2010 | Weekly Status Report: YTD -1.4% (vs S&P500 -2.7%) |
| #8-188 | Aug 20 2010 | Sold SPY -2.5% |
| #8-187 | Aug 18 2010 | Bought IDSA |
| #8-186 | Aug 17 2010 | Bought ZSTN |
| #8-185 | Aug 17 2010 | Bought SPY |
| #8-184 | Aug 16 2010 | Sold FOSL -6.8% |
| #8-183 | Aug 14 2010 | Weekly Status Report: YTD -0.2% (vs S&P500 -2.1%) |
| #8-182 | Aug 13 2010 | Sold BTN -10.1% |
| #8-181 | Aug 13 2010 | Sold ACOM -4.0% |
| #8-180 | Aug 12 2010 | Bought NANO, RADS |
| #8-179 | Aug 11 2010 | Sold HLF +0.6%, PCLN +1.3% |
| #8-178 | Aug 11 2010 | Sold CYT -4.2%, IGTE -3.7%, RADS -4.0% |
| #8-177 | Aug 11 2010 | Sold ADTN -2.4%, AEIS -7.4%, INFA -6.3%, SWKS -2.6% |
| #8-176 | Aug 11 2010 | Sold DDIC -13.0%, NVMI -9.5%, UCTT -7.8% |
| #8-175 | Aug 11 2010 | Market Timing Alert: BEARISH |
| #8-174 | Aug 10 2010 | Bought FOSL; Sold SPY +2.5% |
| #8-173 | Aug 9 2010 | Bought BTN |
| #8-172 | Aug 7 2010 | Weekly Status Report: YTD +5.1% (vs S&P500 +1.7%) |
| #8-171 | Aug 6 2010 | Bought RADS |
| #8-170 | Aug 5 2010 | Bought SOLR; Sold CRUS +9.2%, ODFL -7.7%, SPY +2.5% |
| #8-169 | Aug 4 2010 | Bought PCLN |
| #8-168 | Aug 4 2010 | Bought HLF; Sold SPY +3.0% |
| #8-167 | Aug 3 2010 | Bought NVMI |
| #8-166 | Aug 2 2010 | Bought DDIC; Sold SPY +2.8% |
| #8-165 | Jul 31 2010 | Weekly Status Report: YTD +3.7% (vs S&P500 -0.2%) |
| #8-164 | Jul 30 2010 | Bought ACOM, SWKS; Sold SPY +1.0% |
| #8-163 | Jul 28 2010 | Bought ODFL |
| #8-162 | Jul 27 2010 | Sold CYBX +10.1% |
| #8-161 | Jul 27 2010 | Bought UCTT; Sold SPY +1.6% |
| #8-160 | Jul 26 2010 | Bought AEIS, INFA |
| #8-159 | Jul 24 2010 | Weekly Status Report: YTD +4.0% (vs S&P500 -0.1%) |
| #8-158 | Jul 24 2010 | Market Timing Alert: BULLISH |
| #8-157 | Jul 22 2010 | Bought SPY |
| #8-156 | Jul 21 2010 | Bought CYT |
| #8-155 | Jul 20 2010 | Bought CRUS |
| #8-154 | Jul 20 2010 | Bought CYBX |
| #8-153 | Jul 19 2010 | Bought IGTE |
| #8-152 | Jul 17 2010 | Weekly Status Report: YTD +1.7% (vs S&P500 -3.5%) |
| #8-151 | Jul 16 2010 | Sold SPY +0.5% |
| #8-150 | Jul 14 2010 | Bought ADTN |
| #8-149 | Jul 10 2010 | Weekly Status Report: YTD +2.8% (vs S&P500 -2.4%) |
| #8-148 | Jul 8 2010 | Bought SPY |
| #8-147 | Jul 6 2010 | Sold TIBX -7.1% |
| #8-146 | Jul 6 2010 | Bought SPY |
| #8-145 | Jul 3 2010 | Weekly Status Report: YTD -0.8% (vs S&P500 -7.4%) |
| #8-144 | Jun 29 2010 | Sold APEI -6.7%, CRUS +3.1%, DECK -11.3%, ENTR -0.5%, IGTE -4.6%, SMOD -11.4% |
| #8-143 | Jun 28 2010 | Bought SPY |
| #8-142 | Jun 26 2010 | Weekly Status Report: YTD +3.4% (vs S&P500 -2.6%) |
| #8-141 | Jun 25 2010 | Bought TIBX |
| #8-140 | Jun 25 2010 | Sold SPY -3.4% |
| #8-139 | Jun 25 2010 | Market Timing Alert: BEARISH |
| #8-138 | Jun 24 2010 | Sold AVGO -7.6% |
| #8-137 | Jun 21 2010 | Bought ENTR |
| #8-136 | Jun 19 2010 | Weekly Status Report: YTD +7.5% (vs S&P500 +1.1%) |
| #8-135 | Jun 18 2010 | Bought SPY |
| #8-134 | Jun 18 2010 | Market Timing Alert: BULLISH |
| #8-133 | Jun 18 2010 | Bought SMOD |
| #8-132 | Jun 17 2010 | Bought DECK |
| #8-131 | Jun 17 2010 | Bought APEI |
| #8-130 | Jun 17 2010 | Bought IGTE |
| #8-129 | Jun 16 2010 | Bought AVGO |
| #8-128 | Jun 16 2010 | Bought SPY |
| #8-127 | Jun 16 2010 | Bought CRUS |
| #8-126 | Jun 15 2010 | Bought SPY |
| #8-125 | Jun 12 2010 | Weekly Status Report: YTD +6.5% (vs S&P500 -1.3%) |
| #8-124 | Jun 9 2010 | Sold SPY -0.6% |
| #8-123 | Jun 9 2010 | Bought SPY |
| #8-122 | Jun 5 2010 | Weekly Status Report: YTD +7.0% (vs S&P500 -3.7%) |
| #8-121 | May 29 2010 | Weekly Status Report: YTD +7.0% (vs S&P500 -1.5%) |
| #8-120 | May 22 2010 | Weekly Status Report: YTD +7.0% (vs S&P500 -1.8%) |
| #8-119 | May 20 2010 | Sold MFB -9.0% |
| #8-118 | May 15 2010 | Weekly Status Report: YTD +7.2% (vs S&P500 +2.5%) |
| #8-117 | May 14 2010 | Sold IDXX -3.7% |
| #8-116 | May 14 2010 | Sold LOCM +1.3% |
| #8-115 | May 13 2010 | Sold DGIT +0.8% |
| #8-114 | May 13 2010 | Sold SPY -0.3% |
| #8-113 | May 13 2010 | Bought MFB |
| #8-112 | May 10 2010 | Bought SPY |
| #8-111 | May 8 2010 | Weekly Status Report: YTD +6.9% (vs S&P500 +0.2%) |
| #8-110 | May 7 2010 | Sold RMD -6.6% |
| #8-109 | May 6 2010 | Sold RFMD -12.6% |
| #8-108 | May 6 2010 | Bought DGIT |
| #8-107 | May 4 2010 | Bought RMD; Sold WDC -8.5% |
| #8-106 | May 1 2010 | Weekly Status Report: YTD +9.0% (vs S&P500 +7.0%) |
| #8-105 | Apr 29 2010 | Bought RFMD |
| #8-104 | Apr 28 2010 | Sold BBBY -0.4% |
| #8-103 | Apr 28 2010 | Sold DLTR +10.0%, SPY -0.7%, TUP -4.4% |
| #8-102 | Apr 27 2010 | Market Timing Alert: BEARISH |
| #8-101 | Apr 27 2010 | Sold TER -3.7% |
| #8-100 | Apr 27 2010 | Sold NUS +11.4% |
| #8-99 | Apr 26 2010 | Bought LOCM, WDC; Sold SPY +1.5% |
| #8-98 | Apr 24 2010 | Weekly Status Report: YTD +11.8% (vs S&P500 +9.7%) |
| #8-97 | Apr 23 2010 | Bought IDXX |
| #8-96 | Apr 22 2010 | Bought TER |
| #8-95 | Apr 21 2010 | Bought TUP |
| #8-94 | Apr 21 2010 | Sold SXCI +15.9% |
| #8-93 | Apr 20 2010 | Bought SPY |
| #8-92 | Apr 19 2010 | Bought SPY; Sold CRUS +15.7%, HRBN -5.9%, KLIC +16.0%, LULU +4.8%, SYX +10.1%, TRW +22.2% |
| #8-91 | Apr 17 2010 | Weekly Status Report: YTD +11.5% (vs S&P500 +7.5%) |
| #8-90 | Apr 16 2010 | Sold CHBT -6.6%, CPBY -7.9%, ISSI +23.4%, LPSN +9.9% |
| #8-89 | Apr 15 2010 | Sold CTEL -3.3%, SMOD -4.9% |
| #8-88 | Apr 14 2010 | Sold APEI +4.7% |
| #8-87 | Apr 13 2010 | Sold JAZZ -4.5% |
| #8-86 | Apr 10 2010 | Weekly Status Report: YTD +10.9% (vs S&P500 +7.7%) |
| #8-85 | Apr 8 2010 | Bought BBBY |
| #8-84 | Apr 7 2010 | Sold HMA -4.0% |
| #8-83 | Apr 6 2010 | Bought CPBY |
| #8-82 | Apr 5 2010 | Bought HRBN; Sold LINC +1.8% |
| #8-81 | Apr 2 2010 | Weekly Status Report: YTD +9.6% (vs S&P500 +6.1%) |
| #8-80 | Apr 1 2010 | Sold POWI +6.5% |
| #8-79 | Apr 1 2010 | Bought CRUS |
| #8-78 | Mar 31 2010 | Sold AAPL +13.0% |
| #8-77 | Mar 31 2010 | Sold ASPS -4.5% |
| #8-76 | Mar 30 2010 | Sold SIRO +5.7% |
| #8-75 | Mar 27 2010 | Weekly Status Report: YTD +8.9% (vs S&P500 +5.1%) |
| #8-74 | Mar 26 2010 | Bought ASPS; Sold INSU +3.6% |
| #8-73 | Mar 26 2010 | Bought SMOD |
| #8-72 | Mar 25 2010 | Bought LULU |
| #8-71 | Mar 23 2010 | Sold DECK +17.7% |
| #8-70 | Mar 23 2010 | Bought ISSI |
| #8-69 | Mar 22 2010 | Bought HMA |
| #8-68 | Mar 22 2010 | Bought CTEL |
| #8-67 | Mar 22 2010 | Sold DIOD +0.7% |
| #8-66 | Mar 20 2010 | Weekly Status Report: YTD +7.2% (vs S&P500 +4.4%) |
| #8-65 | Mar 19 2010 | Sold HRBN -17.0% |
| #8-64 | Mar 19 2010 | Bought CHBT |
| #8-63 | Mar 16 2010 | Bought KLIC |
| #8-62 | Mar 15 2010 | Sold NTGR +10.5%, VLTR +8.6% |
| #8-61 | Mar 13 2010 | Weekly Status Report: YTD +7.7% (vs S&P500 +3.6%) |
| #8-60 | Mar 12 2010 | Bought LPSN; Sold KLIC +6.5%, NFLX +12.2% |
| #8-59 | Mar 11 2010 | Bought SYX |
| #8-58 | Mar 10 2010 | Sold APKT +32.0% |
| #8-57 | Mar 10 2010 | Bought HRBN |
| #8-56 | Mar 9 2010 | Sold NETL +15.2% |
| #8-55 | Mar 8 2010 | Bought NUS; Sold ISSI +19.1% |
| #8-54 | Mar 6 2010 | Weekly Status Report: YTD +7.2% (vs S&P500 +2.5%) |
| #8-53 | Mar 5 2010 | Bought JAZZ; Sold SPY +5.6% |
| #8-52 | Mar 4 2010 | Bought SXCI; Sold GPRE -7.1% |
| #8-51 | Mar 3 2010 | Bought DIOD, LINC; Sold BRLI +0.7%, SPY +4.3% |
| #8-50 | Mar 2 2010 | Bought DLTR; Sold SPY +4.1% |
| #8-49 | Mar 1 2010 | Bought INSU, POWI; Sold SPY +3.9% |
| #8-48 | Feb 27 2010 | Weekly Status Report: YTD +2.5% (vs S&P500 -0.6%) |
| #8-47 | Feb 26 2010 | Bought GPRE; Sold LF +7.1% |
| #8-46 | Feb 26 2010 | Bought DECK |
| #8-45 | Feb 25 2010 | Bought TRW |
| #8-44 | Feb 25 2010 | Bought APEI; Sold GPRE -9.8%, PCLN -6.2% |
| #8-43 | Feb 24 2010 | Bought BRLI |
| #8-42 | Feb 22 2010 | Bought GPRE |
| #8-41 | Feb 20 2010 | Weekly Status Report: YTD +3.0% (vs S&P500 -0.2%) |
| #8-40 | Feb 19 2010 | Bought LF |
| #8-39 | Feb 19 2010 | Market Timing Alert: BULLISH |
| #8-38 | Feb 18 2010 | Bought PCLN |
| #8-37 | Feb 16 2010 | Bought SIRO |
| #8-36 | Feb 13 2010 | Weekly Status Report: YTD +0.7% (vs S&P500 -3.3%) |
| #8-35 | Feb 12 2010 | Bought NTGR |
| #8-34 | Feb 11 2010 | Bought KLIC |
| #8-33 | Feb 9 2010 | Bought SPY |
| #8-32 | Feb 8 2010 | Bought ISSI |
| #8-31 | Feb 6 2010 | Weekly Status Report: YTD -1.7% (vs S&P500 -4.3%) |
| #8-30 | Feb 5 2010 | Bought APKT |
| #8-29 | Feb 4 2010 | Bought NETL |
| #8-28 | Jan 31 2010 | Weekly Status Report: YTD -2.0% (vs S&P500 -3.6%) |
| #8-27 | Jan 29 2010 | Sold SPY -2.0% |
| #8-26 | Jan 28 2010 | Bought NFLX |
| #8-25 | Jan 27 2010 | Bought AAPL |
| #8-24 | Jan 26 2010 | Bought VLTR |
| #8-23 | Jan 25 2010 | Bought SPY; Sold BWLD -1.5%, CELG +3.4% |
| #8-22 | Jan 23 2010 | Weekly Status Report: YTD -0.1% (vs S&P500 -2.0%) |
| #8-21 | Jan 22 2010 | Sold BBBY -9.3%, CSKI -14.4%, CTFO -14.9% |
| #8-20 | Jan 21 2010 | Sold CPBY -10.7%, SPY -0.7% |
| #8-19 | Jan 21 2010 | Market Timing Alert: BEARISH |
| #8-18 | Jan 19 2010 | Bought CSKI |
| #8-17 | Jan 16 2010 | Weekly Status Report: YTD +2.4% (vs S&P500 +2.0%) |
| #8-16 | Jan 15 2010 | Bought BWLD; Sold SPY +2.8% |
| #8-15 | Jan 14 2010 | Bought CPBY |
| #8-14 | Jan 14 2010 | Bought CTFO |
| #8-13 | Jan 13 2010 | Bought SPY; Sold CACC +20.4%, CTFO -11.9%, TSTC +55.6% |
| #8-12 | Jan 12 2010 | Sold ASIA -4.0%, CAAS +32.9%, HMIN -6.8%, HRBN -6.1%, LIWA -8.3%, VIT -0.9%, ZSTN +24.3% |
| #8-11 | Jan 12 2010 | Sold CAGC +29.1% |
| #8-10 | Jan 9 2010 | Weekly Status Report: YTD +5.6% (vs S&P500 +2.7%) |
| #8-9 | Jan 8 2010 | Bought CTFO; Sold RIMM -6.7% |
| #8-8 | Jan 7 2010 | Sold PCLN +6.1% |
| #8-7 | Jan 7 2010 | Bought BBBY |
| #8-6 | Jan 7 2010 | Sold CSKI +31.0% |
| #8-5 | Jan 6 2010 | Bought HRBN, VIT; Sold SPY +3.0% |
| #8-4 | Jan 5 2010 | Bought LIWA; Sold SPY +2.8% |
| #8-3 | Jan 4 2010 | Bought HMIN |
| #8-2 | Jan 4 2010 | Bought ZSTN |
| #8-1 | Jan 1 2010 | Weekly Status Report: YTD (2009) +24.9% (vs S&P500 +26.5%) |