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NASDAQ (selection of stocks)

2003
NIHD, IDRA, GOLD, SCSS, CREG, MDCA, LOOK, CPSI, NTRI, KINS
152%
2004
GILT, CHKE, CCOI, PTNR, VIAS, BIOL, JCOM, ISNS, KSWS, CRAY, TGE
19%
2005
CHNR, MSTR, LEAP, TGE, CHKE, TRLG, DWA, TSRA, MKTX, VLCCF
19,5%
2006
LORL, CHNR, AVCA, THRM, AKAM, RNWK, VPHM, PCLN, TRLG, DHIL
77%
2007
KALU, CHNR, IDCC, RAIL, RAND, PTEN, CNIT, URRE, CYBI, PDCE
23%
2008
CNYD, QCOR, IMMR, USEG, ACFN, AXAS, FSTR, CLNT, PRLS, TATT
-47,7%
2009
KGJI, CHYR, PDLI, PRLS, TSYS, TIVO, VASC, CNYD, BIDU, DMLP
220%
2010
PCO, INSM, CHTR, MNDO, BDSI, GAME, BAGL, PWRD, USMO, SCSS, EDS
21,8%
2011
AFCB, MAXY, ZIXI, ACAD, BIDU, INTT, PEIX, CNET, IPXL, USMO
-17,8%
2012
ISIG, PCO, CYBI, VRTS, PDLI, MNTA, POZN, DEPO, CRWN, BIDU                    
52,6%
2013
AWRE, GYRO, PDLI, SIRI, QCOR, DRRX, CRAY, STLY, VMOD, CBOE,



AVERAGE/YEAR:          
51,9%
TOTAL RETURN:            
519,4




NYSE (selection of stocks)

2002
BPT, PBT, TRU, SBR, MTR, CRT, HGT, GNI, ASA, Y
11,3%
2003
ASA, PBT, BPT, HNR, SBR, NLS, TRU, NVR, MED, GNI
41,8%
2004
BPT, ASA, EXM, NRG, SBR, PBT, MTR, HGT, SOR, CRT
73%
2005
BPT, PCE, PBT, SBR, EGY, ORB, TPL, NL, CLF, MT
12,1%
2006
BPT, ASH, PBT, SBR, EGY, NVR, PEO, MTR, GNI, TNH
6,9%
2007
PCE, BPT, CHN, GRR, SCCO, PBT, CRT, TRU, PDS, ASA
15,7%
2008
BPT, PBT, MTR, SBR, TNH, GNI, CRT, NGT, DST, SCCO
-33,5%
2009
BPT, ADX, SBR, SOA, PBT, GNI, CRT, ENP, HGT
25,9%
2010
PRS, PTGI, ASA , GRR, CHN, BPT, KYE, SOR, CPE
49,8%
2011
PRS, PVX, HLS, BPT, GNI, ESI, REV, TNH, NVO, TSM
5,5%
2012
VG, GNI, TNH, BPT, ESI, MVO, CJES, GA, NVO, PBT, SFE
-12,9%
2013
BPT, NVO, AOL, PVD, RGR, PBT, MX, GA, USNA, HLF



AVERAGE/YEAR:          
17,7%
TOTAL RETURN:            
195,6




                                                                                                   

MADRID STOCK EXCHANGE (selection of stocks)

2003
COL, STG, MTS, ALB, MCM, ADZ, NEA, TST, ZOT, BDL, CPL
51%
2004
ANA, EZE, ALB, MTS, MCM, CPL, ADZ, GAM, ZOT, TST
23,5%
2005
MTS, EZE, ALB, STG, ADZ, CGI, ACX, TL5, CPL, MCM, PSG
31,3%
2006
ALB, CGI, MTS, SNC, ADZ, TL5, A3TV, CPL, CLEO, REP, ELE
60%
2007
ALB, DIN, CGI, MTB, A3TV, TL5, ACX, TRG, ANA, REP
-7,9%
2008
DIN, ALB, TL5, A3TV, TRG, MTS, TEF, BDL, PRIM, TUB
-47%
2009
ALB, TRG, TL5, PRIM, TEF, MTS, ITX, A3TV, PSG, ALM, MCM
42,8%
2010
ALB, ALM, MCM, VIS, PSG, TRE, ITX, PRIM, ROVI, VLG
9,8%
2011
ALB, VLG, IBG, ROVI, A3TV, MCM, REP, MDF, VIS, ZOT, ITX
-4,5%
2012
ALB, NTC, IBG, MCM, A3TV, VIS MDF, PRM, ZOT, LGT
11,1%
2013
DIN, AMS, MDF, PRM, MCM, ZOT, ROVI, IBG, VIS, VID



AVERAGE/YEAR:
17%
TOTAL RETURN:
170,1%



La información aquí detallada es meramente informativa, sin ser ningún consejo de compra o venta de acciones, ni indicándose cuando comprar y vender, ni a que precios entrar y salir.

Las plusvalías o minusvalías son sin tener en cuenta gastos del bróker, tasas impositivas, ganancias de dividendos, etc.



The information contained here in is for informational purposes only, without any advice to buy or sell shares, or indicating when to buy and sell, or to enter and exit prices. Gains or losses are regardless of broker costs, tax rates, dividend income, etc.

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