Deen Capital Management, Inc.     Our Goal: Outperform the S&P in both up markets and down.
Our Goal: Outperform the S&P 500 in both up markets and down.
Our Result: +30.0% for the 60 months ending December 10, 2018 (vs +61.1% for the S&P)
Contact us by email
530 Los Angeles Ave #115116 Moorpark CA 93021 805-591-5134 email info@deencapital.com

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Newsletter Archives - 2013
(See also: 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2014 2015 2016 2017 2018 )

IssueDateSubject
#11-265Dec 28 2013Weekly Status Report: YTD +33.3% (vs S&P500 +31.7%)
#11-264Dec 23 2013Bought UTHR; Sold SPY +1.8%
#11-263Dec 21 2013Weekly Status Report: YTD +31.2% (vs S&P500 +30.0%)
#11-262Dec 20 2013Bought MEI
#11-261Dec 19 2013Sold MEI -0.7%
#11-260Dec 18 2013Bought VOO
#11-259Dec 18 2013Market Timing Alert: BULLISH
#11-258Dec 17 2013Sold RMBS -6.8%
#11-257Dec 16 2013Bought SPY
#11-256Dec 14 2013Weekly Status Report: YTD +29.7% (vs S&P500 +26.9%)
#11-255Dec 11 2013Sold CONN +7.0%
#11-254Dec 11 2013Market Timing Alert: BEARISH
#11-253Dec 11 2013Sold GIII +3.4%, IVV -0.5%, SPY +0.2%, VOO -0.2%
#11-252Dec 10 2013Bought RMBS; Sold IVV +0.2%
#11-251Dec 7 2013Weekly Status Report: YTD +31.3% (vs S&P500 +28.9%)
#11-250Dec 6 2013Bought KFY; Sold SPY +0.7%
#11-249Dec 5 2013Bought CONN; Sold GMCR +2.7%
#11-248Dec 5 2013Bought MEI; Sold SPY -0.2%
#11-247Dec 5 2013Bought VOO
#11-246Dec 4 2013Bought GIII
#11-245Dec 3 2013Sold ACET +14.6%
#11-244Dec 2 2013Sold EPIQ +5.7%
#11-243Nov 30 2013Weekly Status Report: YTD +29.8% (vs S&P500 +28.9%)
#11-242Nov 27 2013Bought GMCR; Sold SPY +0.9%
#11-241Nov 26 2013Bought VOO
#11-240Nov 25 2013Sold AEIS +1.4%
#11-239Nov 23 2013Weekly Status Report: YTD +29.3% (vs S&P500 +28.8%)
#11-238Nov 22 2013Bought IVV
#11-237Nov 22 2013Sold AWAY +10.0%, NUVA +9.7%
#11-236Nov 20 2013Bought AEIS; Sold FSLR +2.4%
#11-235Nov 19 2013Bought SPY
#11-234Nov 18 2013Sold ONEQ +0.7%
#11-233Nov 16 2013Weekly Status Report: YTD +28.5% (vs S&P500 +28.3%)
#11-232Nov 14 2013Sold AEIS -5.7%
#11-231Nov 12 2013Sold ICON +8.0%
#11-230Nov 9 2013Weekly Status Report: YTD +26.3% (vs S&P500 +26.3%)
#11-229Nov 8 2013Bought ONEQ
#11-228Nov 8 2013Bought ACET
#11-227Nov 7 2013Sold POWI -6.2%, SPY -0.9%
#11-226Nov 7 2013Bought AWAY; Sold SPY -0.4%
#11-225Nov 6 2013Bought AEIS; Sold DXYN -6.8%
#11-224Nov 4 2013Bought SPY
#11-223Nov 2 2013Weekly Status Report: YTD +24.9% (vs S&P500 +25.5%)
#11-222Nov 1 2013Sold GOOG +1.2%, SILC +0.6%
#11-221Nov 1 2013Bought FSLR; Sold BABY -1.0%, GPN +7.4%, SNDK +2.3%, UFPI +13.3%
#11-220Oct 31 2013Sold IVV +4.2%
#11-219Oct 31 2013Bought POWI; Sold SPY +4.9%
#11-218Oct 30 2013Bought DXYN; Sold AFOP -13.6%
#11-217Oct 30 2013Bought NUVA; Sold SPY +5.6%
#11-216Oct 30 2013Bought EPIQ; Sold SPY +5.6%
#11-215Oct 29 2013Bought ICON; Sold SPY +5.4%
#11-214Oct 26 2013Weekly Status Report: YTD +25.9% (vs S&P500 +25.4%)
#11-213Oct 25 2013Bought AFOP
#11-212Oct 24 2013Bought BABY; Sold NOAH -0.1%
#11-211Oct 23 2013Sold FU -11.2%
#11-210Oct 21 2013Bought SILC
#11-209Oct 21 2013Bought GOOG; Sold SPY +3.9%
#11-208Oct 19 2013Weekly Status Report: YTD +25.4% (vs S&P500 +24.3%)
#11-207Oct 18 2013Bought UFPI; Sold SPY +3.5%
#11-206Oct 17 2013Bought SNDK; Sold IVV +1.7%
#11-205Oct 16 2013Bought FU
#11-204Oct 15 2013Sold FU -2.3%
#11-203Oct 15 2013Bought NOAH; Sold IVV +0.9%
#11-202Oct 14 2013Bought FU; Sold IVV +0.2%
#11-201Oct 12 2013Weekly Status Report: YTD +21.9% (vs S&P500 +21.3%)
#11-200Oct 11 2013Market Timing Alert: BULLISH
#11-199Oct 11 2013Bought IVV
#11-198Oct 10 2013Bought GPN, SPY
#11-197Oct 8 2013Sold CERN +2.4%, KFY +1.8%
#11-196Oct 8 2013Market Timing Alert: BEARISH
#11-195Oct 8 2013Sold BITA +7.3%
#11-194Oct 7 2013Sold GPN -1.5%
#11-193Oct 7 2013Sold SPY -0.9%
#11-192Oct 5 2013Weekly Status Report: YTD +22.5% (vs S&P500 +20.3%)
#11-191Oct 3 2013Sold AN -2.9%
#11-190Oct 2 2013Bought GPN; Sold AMBA +18.2%
#11-189Oct 1 2013Bought BITA
#11-188Oct 1 2013Bought SPY
#11-187Sep 30 2013Sold HMIN -2.9%
#11-186Sep 30 2013Sold BITA +1.6%, CYD +5.3%
#11-185Sep 28 2013Weekly Status Report: YTD +21.5% (vs S&P500 +20.4%)
#11-184Sep 27 2013Bought CERN
#11-183Sep 27 2013Sold EJ +13.7%
#11-182Sep 26 2013Sold FU +52.3%
#11-181Sep 25 2013Bought HMIN; Sold QQQ +2.7%, SPY +2.3%
#11-180Sep 21 2013Weekly Status Report: YTD +18.4% (vs S&P500 +21.6%)
#11-179Sep 17 2013Bought FU
#11-178Sep 16 2013Sold MEI +6.9%
#11-177Sep 14 2013Weekly Status Report: YTD +15.0% (vs S&P500 +20.0%)
#11-176Sep 13 2013Bought BITA; Sold SPY +2.2%
#11-173Sep 9 2013Sold FENG +10.9%
#11-172Sep 7 2013Weekly Status Report: YTD +12.8% (vs S&P500 +17.7%)
#11-171Sep 6 2013Bought CYD; Sold SPY +0.5%
#11-170Sep 6 2013Bought AMBA
#11-169Sep 6 2013Market Timing Alert: BULLISH
#11-168Sep 5 2013Bought EJ
#11-167Sep 4 2013Bought FENG
#11-166Sep 4 2013Bought QQQ
#11-165Sep 3 2013Bought SPY
#11-164Aug 31 2013Weekly Status Report: YTD +10.2% (vs S&P500 +16.0%)
#11-163Aug 29 2013Bought MEI
#11-162Aug 27 2013Sold IVV -1.5%
#11-161Aug 27 2013Sold SPY -1.0%
#11-160Aug 24 2013Weekly Status Report: YTD +11.8% (vs S&P500 +18.1%)
#11-159Aug 22 2013Bought IVV
#11-158Aug 20 2013Bought SPY
#11-157Aug 19 2013Bought BITA; Sold FOSL -5.6%
#11-156Aug 17 2013Weekly Status Report: YTD +11.6% (vs S&P500 +17.6%)
#11-155Aug 16 2013Sold DTLK -1.4%
#11-154Aug 15 2013Sold MXWL -3.6%, NOAH +4.9%, SAPE -2.7%
#11-153Aug 15 2013Market Timing Alert: BEARISH
#11-152Aug 15 2013Sold BITA +7.3%
#11-151Aug 15 2013Sold SPY -2.0%
#11-150Aug 14 2013Bought FOSL; Sold SPY -0.3%
#11-149Aug 13 2013Bought DTLK; Sold SPY -0.6%
#11-148Aug 12 2013Bought NOAH
#11-147Aug 10 2013Weekly Status Report: YTD +14.5% (vs S&P500 +20.0%)
#11-146Aug 9 2013Sold FOSL -5.5%
#11-145Aug 8 2013Bought BITA; Sold IM +2.4%
#11-144Aug 8 2013Bought SAPE, SPY
#11-143Aug 7 2013Sold SODA -6.6%
#11-142Aug 7 2013Sold IVV +4.3%
#11-141Aug 7 2013Sold FB +15.5%
#11-140Aug 6 2013Sold QCOR -1.1%
#11-139Aug 6 2013Sold EVR -0.5%, NUS +9.6%, POWI +10.6%
#11-138Aug 6 2013Bought FOSL; Sold AMBA -2.3%, SFUN +6.3%, WGO +17.9%
#11-137Aug 3 2013Weekly Status Report: YTD +14.6% (vs S&P500 +21.2%)
#11-136Aug 2 2013Bought MXWL; Sold IVV +5.6%
#11-135Jul 31 2013Bought QCOR; Sold OSTK +1.5%
#11-134Jul 31 2013Bought SODA; Sold IVV +4.9%
#11-133Jul 30 2013Bought IM
#11-132Jul 27 2013Weekly Status Report: YTD +12.6% (vs S&P500 +19.9%)
#11-131Jul 26 2013Sold INVN -0.7%
#11-130Jul 25 2013Bought FB; Sold IVV +4.2%
#11-129Jul 24 2013Bought EVR
#11-128Jul 23 2013Sold SYNA +4.2%
#11-127Jul 20 2013Weekly Status Report: YTD +11.3% (vs S&P500 +19.9%)
#11-126Jul 18 2013Bought OSTK; Sold SPY +6.0%
#11-125Jul 18 2013Bought NUS; Sold SPY +5.8%
#11-124Jul 16 2013Bought SFUN; Sold SPY +5.1%
#11-123Jul 15 2013Bought POWI
#11-122Jul 13 2013Weekly Status Report: YTD +10.1% (vs S&P500 +19.1%)
#11-121Jul 6 2013Weekly Status Report: YTD +7.4% (vs S&P500 +15.6%)
#11-120Jul 3 2013Bought AMBA; Sold SPY +1.0%
#11-119Jul 1 2013Bought INVN; Sold SPY +1.6%
#11-118Jul 1 2013Bought IVV
#11-117Jun 29 2013Weekly Status Report: YTD +5.4% (vs S&P500 +13.7%)
#11-116Jun 29 2013Market Timing Alert: BULLISH
#11-115Jun 28 2013Bought WGO
#11-114Jun 26 2013Bought SYNA; Sold SPY +0.1%
#11-113Jun 22 2013Weekly Status Report: YTD +5.0% (vs S&P500 +12.7%)
#11-112Jun 21 2013Bought SPY
#11-111Jun 21 2013Sold SPY -2.0%
#11-110Jun 20 2013Sold AMBA +11.1%, GIII -6.7%, KKD +2.8%, SPY +0.1%, WAIR +9.8%
#11-109Jun 15 2013Weekly Status Report: YTD +6.6% (vs S&P500 +15.1%)
#11-108Jun 15 2013Market Timing Alert: BEARISH
#11-107Jun 8 2013Weekly Status Report: YTD +7.5% (vs S&P500 +16.3%)
#11-106Jun 6 2013Bought SPY
#11-105Jun 5 2013Sold CLNT -20.8%
#11-104Jun 4 2013Bought GIII
#11-103Jun 3 2013Bought KKD
#11-102Jun 3 2013Sold IVV -1.3%, SPY +4.5%
#11-101Jun 1 2013Weekly Status Report: YTD +6.8% (vs S&P500 +15.3%)
#11-100May 29 2013Bought CLNT; Sold SPY +5.2%
#11-99May 28 2013Bought AMBA; Sold SPY +6.5%
#11-98May 25 2013Weekly Status Report: YTD +8.0% (vs S&P500 +16.6%)
#11-97May 24 2013Bought IVV
#11-96May 23 2013Bought WAIR
#11-95May 22 2013Sold AMBA +10.6%, BCOR -2.5%, LOPE +9.5%, MGAM -1.0%, NLS -9.8%, OSTK +60.0%, PERI -3.4%, STMP +11.0%, SYNA -6.9%
#11-94May 21 2013Sold WAIR -2.5%
#11-93May 18 2013Weekly Status Report: YTD +10.4% (vs S&P500 +17.8%)
#11-92May 13 2013Bought PERI; Sold IVV +5.5%
#11-91May 11 2013Weekly Status Report: YTD +9.3% (vs S&P500 +15.4%)
#11-90May 9 2013Bought NLS; Sold IVV +5.2%
#11-89May 8 2013Bought LOPE
#11-88May 7 2013Sold FSLR +9.1%
#11-87May 4 2013Weekly Status Report: YTD +6.4% (vs S&P500 +13.9%)
#11-86May 3 2013Bought BCOR; Sold IVV +3.1%
#11-85May 2 2013Bought MGAM; Sold IVV +1.7%
#11-84Apr 30 2013Bought WAIR
#11-83Apr 27 2013Weekly Status Report: YTD +3.6% (vs S&P500 +11.6%)
#11-82Apr 26 2013Bought SYNA; Sold ONEQ -0.6%
#11-81Apr 25 2013Bought AMBA; Sold ONEQ -0.1%
#11-80Apr 25 2013Bought STMP; Sold ONEQ -0.0%
#11-79Apr 20 2013Weekly Status Report: YTD -0.0% (vs S&P500 +9.7%)
#11-78Apr 19 2013Bought IVV
#11-77Apr 18 2013Bought OSTK; Sold ONEQ -4.0%
#11-76Apr 16 2013Bought IVV
#11-75Apr 15 2013Sold AMBA -10.3%, SLCA -9.5%
#11-74Apr 13 2013Weekly Status Report: YTD +2.3% (vs S&P500 +12.0%)
#11-73Apr 10 2013Bought ONEQ
#11-72Apr 10 2013Market Timing Alert: BULLISH
#11-71Apr 9 2013Bought FSLR
#11-70Apr 9 2013Bought AMBA, SPY
#11-69Apr 8 2013Bought SLCA
#11-68Apr 6 2013Weekly Status Report: YTD +2.5% (vs S&P500 +9.5%)
#11-67Apr 3 2013Sold AMBA +3.6%, EPAM +1.5%, IVV +0.1%, MNTX -17.6%, PHMD -5.3%, SPY +2.0%, SSYS +1.7%, WSM +2.0%
#11-66Apr 3 2013Market Timing Alert: BEARISH
#11-65Apr 1 2013Sold ARUN -5.5%
#11-64Mar 29 2013Weekly Status Report: YTD +6.4% (vs S&P500 +10.6%)
#11-63Mar 26 2013Bought IVV
#11-62Mar 26 2013Bought EPAM; Sold AWAY +10.6%, PCOM +0.1%
#11-61Mar 25 2013Bought MNTX; Sold SLCA +2.2%
#11-60Mar 23 2013Weekly Status Report: YTD +4.8% (vs S&P500 +9.7%)
#11-59Mar 20 2013Sold JAZZ -0.8%
#11-58Mar 20 2013Bought WSM; Sold SPY +1.8%
#11-57Mar 16 2013Weekly Status Report: YTD +4.0% (vs S&P500 +9.9%)
#11-56Mar 13 2013Bought PHMD; Sold SPY +2.1%
#11-55Mar 12 2013Bought AMBA; Sold SPY +1.8%
#11-54Mar 11 2013Bought AMBA; Sold SPY +1.9%
#11-53Mar 9 2013Weekly Status Report: YTD +4.6% (vs S&P500 +9.2%)
#11-52Mar 8 2013Bought PCOM; Sold SPY +1.7%
#11-51Mar 4 2013Bought SPY; Sold LOPE -5.1%, ONEQ +0.2%
#11-50Mar 4 2013Bought SSYS
#11-49Mar 2 2013Weekly Status Report: YTD +2.3% (vs S&P500 +6.8%)
#11-48Mar 1 2013Sold WWWW -6.5%
#11-47Feb 28 2013Bought SPY
#11-46Feb 28 2013Market Timing Alert: BULLISH
#11-45Feb 27 2013Bought AWAY
#11-44Feb 27 2013Bought JAZZ, ONEQ
#11-43Feb 27 2013Bought LOPE
#11-42Feb 26 2013Bought SLCA
#11-41Feb 25 2013Bought ARUN
#11-40Feb 23 2013Weekly Status Report: YTD +2.0% (vs S&P500 +6.6%)
#11-39Feb 21 2013Sold CREE +7.9%, CYNO -2.9%, GOOG +7.0%, HTGC +6.2%, JCOM -0.4%, KORS -4.9%, MANH -2.5%, MDCO +11.9%, MGAM +3.9%, OPEN +4.0%, TISI +5.4%, XXIA +5.8%
#11-38Feb 21 2013Market Timing Alert: BEARISH
#11-37Feb 20 2013Sold DHI -8.6%, HTHT -3.5%
#11-36Feb 19 2013Sold LOPE +2.9%
#11-35Feb 19 2013Bought WWWW
#11-34Feb 16 2013Weekly Status Report: YTD +4.6% (vs S&P500 +6.8%)
#11-33Feb 15 2013Sold LNN +1.5%
#11-32Feb 14 2013Bought JCOM; Sold SPY +0.8%
#11-31Feb 12 2013Bought CYNO; Sold SPY +0.8%
#11-30Feb 12 2013Bought KORS
#11-29Feb 11 2013Bought OPEN
#11-28Feb 11 2013Sold ONEQ +1.7%
#11-27Feb 9 2013Weekly Status Report: YTD +3.5% (vs S&P500 +6.6%)
#11-26Feb 8 2013Bought LOPE
#11-25Feb 7 2013Sold ONEQ +1.0%
#11-24Feb 6 2013Bought SPY
#11-23Feb 5 2013Sold LNDC -2.3%
#11-22Feb 2 2013Weekly Status Report: YTD +3.1% (vs S&P500 +6.2%)
#11-21Feb 1 2013Bought MANH
#11-20Jan 30 2013Sold ASGN +24.3%
#11-19Jan 30 2013Bought MGAM
#11-18Jan 29 2013Bought DHI; Sold CYNO +11.8%
#11-17Jan 29 2013Sold CDNS +0.7%, MX +7.3%
#11-16Jan 26 2013Weekly Status Report: YTD +1.0% (vs S&P500 +5.5%)
#11-15Jan 24 2013Bought CREE; Sold ONEQ +0.5%
#11-14Jan 23 2013Bought GOOG; Sold PERI -15.9%
#11-13Jan 19 2013Weekly Status Report: YTD +1.7% (vs S&P500 +4.3%)
#11-12Jan 15 2013Bought HTHT; Sold ONEQ -0.7%
#11-11Jan 14 2013Bought XXIA; Sold ONEQ -0.6%
#11-10Jan 12 2013Weekly Status Report: YTD +1.1% (vs S&P500 +3.3%)
#11-9Jan 11 2013Bought MDCO; Sold ONEQ -0.5%
#11-8Jan 10 2013Bought TISI; Sold ONEQ -0.9%
#11-7Jan 9 2013Bought CDNS; Sold ONEQ -0.7%
#11-6Jan 8 2013Bought LNN; Sold ONEQ -1.3%
#11-5Jan 8 2013Bought PERI; Sold ONEQ -1.5%
#11-4Jan 7 2013Bought HTGC; Sold ONEQ -0.9%
#11-3Jan 5 2013Weekly Status Report: YTD +0.8% (vs S&P500 +2.8%)
#11-2Jan 3 2013Bought LNDC; Sold ONEQ -0.5%
#11-1Jan 2 2013Bought ONEQ

See also: 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2014 2015 2016 2017 2018