Here it is year's of equity and ideas all on a blog.
I do this now because I feel like I will be liquidating most positions in the coming months but my portfolio returned me 55 % return in 2005 and up over 23 % so far in 2006. HEDGE FUNDS would be jealous.
Yes I do own alot and its hard to stay on top of, but retirement is just that boring. So feel free to criticize any of these stocks or do research and buy into them.
MY PORTFOLIO AS IT STANDS TODAY
STOCKS INTERNATIONAL and US
BRAZIL STOCKS- BBD, GGB, RIO, PDA, SID, TSU, TX, UBB
MEXICO STOCKS- CX, GMK, SIM
CANADA STOCKS- AEG, AGU, CCJ, CWPC, N, NXY,
INDIA STOCKS- IBN, RDY, TTM
EUROPE STOCKS- ACN, AXS, CTCH, ITU, LR, ORCT, SNY
ASIA and AUST. STOCKS- ACH, ASYT, BBC, BIDU, BHP, CAAS, CHNR, CTDC, JST, KYO, KNBWY, RTP, SNE, SOHU, SIMO, TM, WF
US STOCKS- AAON, ACAP, BGG, BZH, CAV, DE, DTV, EDGR, ESCL, FAST, FTHR, GE, GME, HD, HON, LAF, MEK, T, TSCO, VZ
US FINANCIALS- AXP, GS, GNW, LM, TRAD,
US ENERGY-CHK, CDIS, DVN, EOG, GW, NBL, NBR, NEU, OIS
US ALTERNATIVE PLAYS- ADM, ESLR, ENER,HW, MON, PEIX, QTWW, XSNX
US METALS and MINING- AA, ACH, AL, ARS, ATI, CAT, FCX, JOYG, LAYN, NEM, NUE, OS, PKOH, RTI, RYI, TGB, TIE, ZEUS
US STOCK EXCHANGES- AX, BOT, CME, ICE, ISE, NDAQ
US DEFENSE CONTRACTORS- ERI, NLX, BA
US DRUG STOCKS- ALKS, AVII, BDY, ESRX, GILD, KG, MDCC, MEDX, PFE, RNAI, TRMS,
US TRANSPORTION- AMR, ARII, CAL, CP, GWR, JBLU, RAIL
US CHEMICALS- DOW, GGC, HUN, NCX
US TECHNOLOGY- AMD, AAPL, ATAC, ATEA, AXTI, BITS, BTUI, CSCO, GRMN, ISO, INTC, NMKT, PRLS, SNX, VOL
ENERGY TRUST's are PTF, PWI, HTE, and FDG.
CLOSED END FUNDS are JHFT, EQS, TWN, TY, SWZ, and NRI
ETF's are EWW, EWC, EWJ, EWN, FXI, GLD, OIH, PGJ, XLE, IFN, TFC, and TKF
Index FUNDS are FTSE and DAX and SSE and BVSP
MUTUAL FUND FID CONTRA, FID VALUE, FID US EQUITY, and FID Emergeing MKTS
MOST RECENT PURCHASE= PFE 2 Months ago, ASYT 2 months ago, VOL 2 months ago, SNX 2 months ago, GHCI 2 months ago, SMP 1 Month ago, SMTX 1 month ago, BOT 1 month ago, GE 2 WEEKS AGO, XSNX 3 days ago, INTC yesterday, HTE today
MOST RECENT SELLS OR POSITION REDUCING= AHL, CTS, DTV, GNW, GGB, SIM, N, LMS, MT, RYI, NCX, OS, NEU, PDA, SNX, UARM(before earnings at 39 haha bought at 22))
BEST 2005 position CWPC up 1500% return ( THE NEXT SUNCOR)
ONLY SHORT POSTION = DCN SINCE it was $15
I do this now because I feel like I will be liquidating most positions in the coming months but my portfolio returned me 55 % return in 2005 and up over 23 % so far in 2006. HEDGE FUNDS would be jealous.
Yes I do own alot and its hard to stay on top of, but retirement is just that boring. So feel free to criticize any of these stocks or do research and buy into them.
MY PORTFOLIO AS IT STANDS TODAY
STOCKS INTERNATIONAL and US
BRAZIL STOCKS- BBD, GGB, RIO, PDA, SID, TSU, TX, UBB
MEXICO STOCKS- CX, GMK, SIM
CANADA STOCKS- AEG, AGU, CCJ, CWPC, N, NXY,
INDIA STOCKS- IBN, RDY, TTM
EUROPE STOCKS- ACN, AXS, CTCH, ITU, LR, ORCT, SNY
ASIA and AUST. STOCKS- ACH, ASYT, BBC, BIDU, BHP, CAAS, CHNR, CTDC, JST, KYO, KNBWY, RTP, SNE, SOHU, SIMO, TM, WF
US STOCKS- AAON, ACAP, BGG, BZH, CAV, DE, DTV, EDGR, ESCL, FAST, FTHR, GE, GME, HD, HON, LAF, MEK, T, TSCO, VZ
US FINANCIALS- AXP, GS, GNW, LM, TRAD,
US ENERGY-CHK, CDIS, DVN, EOG, GW, NBL, NBR, NEU, OIS
US ALTERNATIVE PLAYS- ADM, ESLR, ENER,HW, MON, PEIX, QTWW, XSNX
US METALS and MINING- AA, ACH, AL, ARS, ATI, CAT, FCX, JOYG, LAYN, NEM, NUE, OS, PKOH, RTI, RYI, TGB, TIE, ZEUS
US STOCK EXCHANGES- AX, BOT, CME, ICE, ISE, NDAQ
US DEFENSE CONTRACTORS- ERI, NLX, BA
US DRUG STOCKS- ALKS, AVII, BDY, ESRX, GILD, KG, MDCC, MEDX, PFE, RNAI, TRMS,
US TRANSPORTION- AMR, ARII, CAL, CP, GWR, JBLU, RAIL
US CHEMICALS- DOW, GGC, HUN, NCX
US TECHNOLOGY- AMD, AAPL, ATAC, ATEA, AXTI, BITS, BTUI, CSCO, GRMN, ISO, INTC, NMKT, PRLS, SNX, VOL
ENERGY TRUST's are PTF, PWI, HTE, and FDG.
CLOSED END FUNDS are JHFT, EQS, TWN, TY, SWZ, and NRI
ETF's are EWW, EWC, EWJ, EWN, FXI, GLD, OIH, PGJ, XLE, IFN, TFC, and TKF
Index FUNDS are FTSE and DAX and SSE and BVSP
MUTUAL FUND FID CONTRA, FID VALUE, FID US EQUITY, and FID Emergeing MKTS
MOST RECENT PURCHASE= PFE 2 Months ago, ASYT 2 months ago, VOL 2 months ago, SNX 2 months ago, GHCI 2 months ago, SMP 1 Month ago, SMTX 1 month ago, BOT 1 month ago, GE 2 WEEKS AGO, XSNX 3 days ago, INTC yesterday, HTE today
MOST RECENT SELLS OR POSITION REDUCING= AHL, CTS, DTV, GNW, GGB, SIM, N, LMS, MT, RYI, NCX, OS, NEU, PDA, SNX, UARM(before earnings at 39 haha bought at 22))
BEST 2005 position CWPC up 1500% return ( THE NEXT SUNCOR)
ONLY SHORT POSTION = DCN SINCE it was $15
(other than posting them in my thread).