Week 1 of 14: The reason I bought these stocks is because they are making me pretty good money, and they seem to be pretty good so far.
Week 2 of 14: The reason I sold the Ebay stocks and bought some different ones is because Google, Costco, and the other stock looked like they were doing better than Ebay was at the time.
Week 3 of 14: The reason I sold all of my Google stocks is because they were not doing very well, and with the money I got from them I went ahead and purchased some Royal Gold stocks because they were up, and they were doing ok. {Let's hope they stay like that :D} I will see how they do next week for the next round of purchasing.
Week 4 of 14: The reason I have only Costco stocks this week and sold the Royal Gold stocks this week is because they were not doing very well, and the Costco stocks are the only ones doing alright. I hope that the Costco stocks continue doing ok until I find more stocks that are doing well.
Week 5 of 14: The reason I did not sell my Costco stocks is because they are doing ok and making me some money off returns. You cannot see it here, but I purchased 50 Ebay stocks, and 10 QQQ stocks. They were both doing pretty good, and I think that these stocks will do me good till I have to go ahead and sell all of them.
Week 6 of 14: The reason I sold my Costco and Ebay stocks is because they were both dropping big time, and QQQ was the only one doing well. So I used the money I got from Costco and Ebay stocks and turned it into more QQQ and PHYI stocks because they were both doing great. Next week I will see how they are doing, and maybe buy more QQQ and PHYI.
Week 7 of 14: The reason I bought some DIA stocks is because they were doing really good, and I think that they will continue to do well.
Week 8, Part 1: In this image, you see that I had to sell all my stocks, and I will purchase more stocks with the money I got from them once my Portfolio has updated. Then I am going to rebuy some of my DIA stocks and I will go ahead and purchase some more of another stock.
Week 8, Part 2: The reason I purchased back some of my DIA stocks is because they are doing really well, and I think that they are a good stock to have laying around for incase I need to get more money for another stock. The reason I purchased WDAY stocks is because they were doing well too, and I think that these stocks will continue to grow.
Week 9 of 14: The reason that I have not sold any of my old stocks from last week is that they are doing very well, and I think that they will continue to raise for money in returns, and then when they are high enough, I will sell them.
Week 10 of 14: I have my DIA stocks and my WDAY stocks still, but I am going to sell them after this screenshot because they are both losing big, and then I will purchase another stock.
Week 11 of 14: I have not had any stocks except my QQQ stocks for a week now because they are the only one that were doing well. I hope that they will continue to as well. In the future I think that am going to probably keep these stocks, and then repurchase some Google stocks in a week. What has influenced me the most about this game is that I need to watch what stocks I get. The best stock that I have ever purchased has probably been QQQ stocks. I mostly listened to Motley Fool Money and my other podcasts to see what stocks are doing well.
Week 12 of 14: I sold all of my QQQ stocks from last week, and I purchased a new stock called TSLA which are doing really well, and I think that they will go up a little more before I can sell them. I think that the next stock I will look into if this one fails is EBAY.
Week 13 of 14: It is almost time for my stocks to close for the lesson, but I still have one. TSLA is doing well, and I think that I will hold onto them until the end of this round.