My Current Holdings
Before I talk about the rest of the investment mistakes I made let me quickly give you my current holdings and how they did so far. I will explain the detail of these picks later.
So here they are, my market beating portfolio:
Symbol(Gain/Loss)
ABB(0.16%)
BRCM(22.57%)
C(10.6%)
CHNR(9.7%)
CPST(-1.34%)
CSUN(2.15%)
DAR(16.55%)
EJ(27.89%)
FNM(5.59%)
HOV(1.63%)
LFT(-1.32%)
MPEL(0.49%)
NVDA(9.1%)
SDA(14.74%)
STO(1.84%)
VSCI(40.44%)
Overall(8.87%)
So here they are, my market beating portfolio:
Symbol(Gain/Loss)
ABB(0.16%)
BRCM(22.57%)
C(10.6%)
CHNR(9.7%)
CPST(-1.34%)
CSUN(2.15%)
DAR(16.55%)
EJ(27.89%)
FNM(5.59%)
HOV(1.63%)
LFT(-1.32%)
MPEL(0.49%)
NVDA(9.1%)
SDA(14.74%)
STO(1.84%)
VSCI(40.44%)
Overall(8.87%)

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