+switch campaign AT&T with GSK #640 Optimal Strategy of Playing the Sto
From
plutonium.archimedes@gmail.com@21:1/5 to
All on Thu Jun 30 13:04:37 2016
switch campaign AT&T with GSK #640 Optimal Strategy of Playing the StockMarket via VonNeumann Game Theory
In all my years of trading in AT&T and SBC before, I have never seen a price action like this before, wherein a few days it climbs from 39 up to above 43
Portfolio of PAF on 30JUN2016
VZ 1,800
T 25,000
GSK 20
_______________
26,820
total share-wealth-units last reported which was 27JUN2016 was 26,820
and total share-wealth-units today 26,820
real-estate land 3APR03 of 1 lot $16,500.
real-estate land Sept05 another lot $75,000.
Having experienced this robustness, this invigorated AT&T, and knowing the ex dividend date is 6 July or thereabouts (never sure when it is), I decided that T would be vigorous up to 6 July, but cannot count on GSK vigorous to 6 July due to Brexit.
So, today I sold 500 GSK at 43.32 and bought 500 T at 43.19 for a gain of a small amount of cash. I made no gain in extra shares, for there was not enough cash to buy 10 more shares of T.
What drove me to switch today is the vigor of AT&T and its upcoming ex dividend. Can it remain as vigorous after ex?
AP
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