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iShares Russell 2000 ETF
Symbol: IWM-N
Active: Y
Sector: investment companies/funds
Last Price: 76.480
Last Price Date: 2012-05-24 01:14:33
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Experts who have talked about iShares Russell 2000 ETF

PAST TOP PICK80.250Don Vialoux(A Top Pick Dec 30/11. Up 7.25%.) Russell 2000 Index. This trade works from the middle of December right through until the 1st week in March. Technicals gave him Sell signal about 2 weeks ago so he got out.2012-03-02
TOP PICK73.750Don VialouxThe January effect. Has been very profitable for a long period of time. Mid Dec to beginning of March (5.5% returns). Big investors switch from large cap stocks to smaller cap stocks about now. But this year they will be impacted by US$ - will have a negative effect on big international companies. You want to be in the smaller, non-international companies this spring. 2011-12-30
PAST TOP PICK68.460Don Vialoux(A Top Pick Dec 10/10. Down 11.32%.) Sold his holdings in the first week of March at a good profit.2011-09-02
TOP PICK77.745Don VialouxRussell 2000 ETF. Benefits from being a small cap index. Analysts love to hold small cap stocks early in the new year. Extra kicker this year when US will do something special on payroll tax and special write offs. Affects mainly domestic companies so they’ll do very well in 2011. Seasonal strength is Dec 19th to March 7th. Clicked in early this year.2010-12-10
PAST TOP SHORT64.190Colin Stewart(A Top Short May 12/08. Up 30.85%.) Still a Short.2010-05-25
PAST TOP SHORT60.780Colin Stewart(A Top Short May 12/09. Down 22.9%.) This was a way to protect his overall portfolio from a potential weakness in the market.2010-01-28
PAST TOP SHORT56.840Colin Stewart(A Top Pick June 25/08. Up 18.84%.) Continuing to be short this one.2009-08-20
TOP SHORT49.550Colin Stewart(A Top Short June 25/08. Up 29%.) This is used as a proxy to short US small caps.2009-05-12
TOP SHORT71.500Colin StewartVery cautious on the economic outlook in the US, generally the equity markets in Canada and the US. Housing crisis is not yet over and there will be continued de-leveraging across the financial system, which will have a major impact on consumer spending. Will probably maintain this short position for the next 6 months.2008-06-25
PAST TOP SHORT73.810Larry Berman CFA, CMT, CTA(A Top Short July 24/06. Up 7.2%.) Got stopped out of his position.2006-10-11

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