U.S. Portfolio

The portfolio still remains lower than the benchmark (S&P 500), and is still far from having developed its full potential, but it is now positive. I think more in portfolio result than in trade results. I will buy, sell and adjust the weight of each security in the portfolio on a dynamic basis and over time in the light of the varying market conditions, goals and perception.
That said, next week I will possibly make some changes.
 
3 New Buys:

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Only some time later I will post the annotated charts and update the portfolio.
 
Monday last week, I had a computer problem. The hard disk stopped working and I took some time to recover the information. Now things are getting back to normal.

I made two modifications:
I have changed the calculation of the weighted average price to 3 decimal places. And I stopped provide an approximation of the money used for the trade and started to provide the real money used for the trade. (The money used for the trade is not used for calculating the trade gain or loss.)
 
The following is the list of recently closed trades:

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The following is the list of closed trades:

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The following is the list of money from dividends:

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The following is the current portfolio:

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