Portfolio was down big, $226=1.56%. Market was mostly flat (with its ups and downs, roller coaster style). Why the big discrepancy? Two tech plays were down big: MITK 7.5 was down 32% and JNPR 30 was down 15%. Not clear why? Other loosers UN (I assume Europe has stopped using the small amt soup they usually use), SNY(no more meds in Europe, also)
65% of all stocks on the Nasdaq were up and these two were down huge. What do you know about JNPR and MITK??