| Issue | Date | Subject |
| #10-89 | May 19 2012 | Weekly Status Report: YTD -2.9% (vs S&P500 +3.8%) |
| #10-88 | May 18 2012 | Bought SPY; Sold CRUS -3.7%, PATK -2.2% |
| #10-87 | May 17 2012 | Sold GNRC -4.0%, MLNX -6.4%, WWWW -8.4% |
| #10-86 | May 16 2012 | Sold TITN -11.6% |
| #10-85 | May 14 2012 | Sold SPY -4.7% |
| #10-84 | May 12 2012 | Weekly Status Report: YTD +0.3% (vs S&P500 +8.4%) |
| #10-83 | May 11 2012 | Bought INSP |
| #10-82 | May 10 2012 | Sold QQQ -3.5% |
| #10-81 | May 10 2012 | Bought GNRC |
| #10-80 | May 5 2012 | Weekly Status Report: YTD +1.4% (vs S&P500 +9.5%) |
| #10-79 | May 5 2012 | Market Timing Alert: BEARISH |
| #10-78 | May 4 2012 | Sold HAR -8.7% |
| #10-77 | May 3 2012 | Bought WWWW; Sold SPY -0.6% |
| #10-76 | Apr 30 2012 | Bought HAR |
| #10-75 | Apr 28 2012 | Weekly Status Report: YTD +4.3% (vs S&P500 +12.3%) |
| #10-74 | Apr 27 2012 | Bought MLNX |
| #10-73 | Apr 27 2012 | Bought EXPE |
| #10-72 | Apr 27 2012 | Market Timing Alert: BULLISH |
| #10-71 | Apr 26 2012 | Bought CRUS, PATK |
| #10-70 | Apr 25 2012 | Bought QQQ |
| #10-69 | Apr 21 2012 | Weekly Status Report: YTD +2.3% (vs S&P500 +10.3%) |
| #10-68 | Apr 20 2012 | Sold QLD -4.1%, QQQ -1.5% |
| #10-67 | Apr 14 2012 | Weekly Status Report: YTD +2.6% (vs S&P500 +9.6%) |
| #10-66 | Apr 14 2012 | Market Timing Alert: BEARISH |
| #10-65 | Apr 12 2012 | Bought QLD |
| #10-64 | Apr 12 2012 | Market Timing Alert: BULLISH |
| #10-63 | Apr 12 2012 | Bought TITN |
| #10-62 | Apr 11 2012 | Bought QQQ |
| #10-61 | Apr 10 2012 | Sold IVV -2.8% |
| #10-60 | Apr 10 2012 | Market Timing Alert: BEARISH |
| #10-59 | Apr 6 2012 | Weekly Status Report: YTD +4.8% (vs S&P500 +11.8%) |
| #10-58 | Apr 4 2012 | Bought IVV; Sold DORM -3.0%, EXLS -2.2%, HEES -3.9%, MIDD -3.2%, MOV +1.2%, SAIA -4.2%, SSO -1.8%, WWWW -6.5% |
| #10-57 | Mar 31 2012 | Weekly Status Report: YTD +6.5% (vs S&P500 +12.5%) |
| #10-56 | Mar 30 2012 | Bought MOV |
| #10-55 | Mar 30 2012 | Bought SSO |
| #10-54 | Mar 28 2012 | Sold MGAM -3.7% |
| #10-53 | Mar 28 2012 | Sold JVA -16.6% |
| #10-52 | Mar 27 2012 | Bought DORM; Sold SPY +0.6% |
| #10-51 | Mar 26 2012 | Bought SPY |
| #10-50 | Mar 24 2012 | Weekly Status Report: YTD +7.9% (vs S&P500 +11.6%) |
| #10-49 | Mar 24 2012 | Market Timing Alert: BULLISH |
| #10-48 | Mar 21 2012 | Bought WWWW |
| #10-47 | Mar 20 2012 | Bought MIDD |
| #10-46 | Mar 19 2012 | Bought SAIA |
| #10-45 | Mar 17 2012 | Weekly Status Report: YTD +8.8% (vs S&P500 +12.1%) |
| #10-44 | Mar 16 2012 | Bought EXLS |
| #10-43 | Mar 16 2012 | Bought MGAM |
| #10-42 | Mar 15 2012 | Bought JVA |
| #10-41 | Mar 10 2012 | Weekly Status Report: YTD +8.5% (vs S&P500 +9.5%) |
| #10-40 | Mar 6 2012 | Sold PKT -4.6% |
| #10-39 | Mar 3 2012 | Weekly Status Report: YTD +8.7% (vs S&P500 +9.3%) |
| #10-38 | Mar 2 2012 | Sold CA +5.5%, CDNS -0.7%, CSTR +1.8%, EXXI -1.6%, GUID +3.8%, HLF +1.9%, IACI +3.3%, LSI +6.1%, MGAM -3.2%, MIND -8.1%, SNX +18.3%, SPY +10.8%, THOR -0.4%, VOXX +14.8%, WWWW -2.7% |
| #10-37 | Mar 2 2012 | Market Timing Alert: BEARISH |
| #10-36 | Mar 2 2012 | Sold MIND -8.1% |
| #10-35 | Mar 1 2012 | Bought HEES |
| #10-34 | Feb 28 2012 | Sold ZOLT -5.8% |
| #10-33 | Feb 25 2012 | Weekly Status Report: YTD +10.3% (vs S&P500 +8.9%) |
| #10-32 | Feb 24 2012 | Bought PKT; Sold SPY +10.4% |
| #10-31 | Feb 23 2012 | Bought MIND |
| #10-30 | Feb 22 2012 | Bought HLF; Sold COH +8.9% |
| #10-29 | Feb 21 2012 | Bought WWWW |
| #10-28 | Feb 18 2012 | Weekly Status Report: YTD +9.7% (vs S&P500 +8.5%) |
| #10-27 | Feb 17 2012 | Bought EXXI; Sold JAZZ +4.0%, PMT -4.4% |
| #10-26 | Feb 16 2012 | Sold AAPL +9.2% |
| #10-25 | Feb 14 2012 | Bought PMT; Sold IVV +6.7% |
| #10-24 | Feb 11 2012 | Weekly Status Report: YTD +8.6% (vs S&P500 +7.0%) |
| #10-23 | Feb 10 2012 | Bought THOR; Sold SPY +8.2% |
| #10-22 | Feb 9 2012 | Bought GUID; Sold SHFL +19.9% |
| #10-21 | Feb 8 2012 | Bought ZOLT; Sold SPY +8.7% |
| #10-20 | Feb 7 2012 | Bought CSTR; Sold MIND +14.7% |
| #10-19 | Feb 6 2012 | Bought MGAM; Sold SPY +8.2% |
| #10-18 | Feb 4 2012 | Weekly Status Report: YTD +7.7% (vs S&P500 +7.1%) |
| #10-17 | Feb 2 2012 | Bought CDNS; Sold IVV +5.2% |
| #10-16 | Feb 1 2012 | Bought IACI |
| #10-15 | Jan 28 2012 | Weekly Status Report: YTD +4.3% (vs S&P500 +4.8%) |
| #10-14 | Jan 27 2012 | Bought CA; Sold IVV +4.6% |
| #10-13 | Jan 26 2012 | Bought LSI |
| #10-12 | Jan 25 2012 | Bought AAPL; Sold SSO +5.1% |
| #10-11 | Jan 24 2012 | Bought COH; Sold LULU +2.0% |
| #10-10 | Jan 21 2012 | Weekly Status Report: YTD +4.5% (vs S&P500 +4.7%) |
| #10-9 | Jan 18 2012 | Bought SNX |
| #10-8 | Jan 14 2012 | Weekly Status Report: YTD +2.3% (vs S&P500 +2.6%) |
| #10-7 | Jan 12 2012 | Sold QCOR -16.5% |
| #10-6 | Jan 11 2012 | Bought VOXX; Sold SPY +3.8% |
| #10-5 | Jan 10 2012 | Bought LULU; Sold SPY +4.2% |
| #10-4 | Jan 9 2012 | Bought QCOR; Sold SPY +2.9% |
| #10-3 | Jan 7 2012 | Weekly Status Report: YTD +1.5% (vs S&P500 +1.7%) |
| #10-2 | Jan 6 2012 | Bought JAZZ; Sold SPY +3.3% |
| #10-1 | Jan 3 2012 | Bought SSO; Sold SPY +3.2% |