Descrizione
Optimal investment portfolio is quite risky portfolio with potentially high profit while maintaning low risk/profit ratio.
Revisione
18.04.2022
Series of trades with gold (XAUUSD) were made with a profit of $163.31
CME stocks were sold with a profit of $334.6
Kraft-Heinz (KHC) stocks were sold with a profit of $443.2
Tesla (TSLA) stocks were sold with a profit of $37.57
Dividends from Verizon (VZ) recieved in total of $19.2
18.03.2022
Series of trades with gold (XAUUSD) were made with a profit of $1779.82
Alibaba (BABA) stocks were sold with a loss of $1830
Verizon (VZ) stocks are sold with a loss of $27.9
Dividends from CME and Kraft Heinz (KHC) recieved in total of $42
New trades with gold (XAUUSD) are open at $1997.95
15.02.2022
Disney (DIS) stocks sold at stop-loss with a loss of $431.70
IBM paid dividends of $16.40
Stop-loss on Alibaba (BABA) stocks moved to $107.80
Stop-loss on CME stocks moved to $215.00
Stop-loss on Verizon (VZ) stocks moved to $52.15
Stop-loss on IBM stocks moved to $104.50
Stop-loss on Kraft Heinz (KHC) stocks moved to $28.00
Gold at $1855.59 were bought to balance the portfolio
14.01.2022
CME paid dividends of $41.50
09.12.2021
CISCO (CSCO) stocks were sold with a profit of $62.8
Kraft Heinz (KHC) paid dividends of $32.00
16.11.2021
IBM (IBM) paid dividends of $16.40
Alibaba (BABA) stop-loss was upgraded to $125
Tesla (TSLA) stocks were bought at average price of $1025.49
12.10.2021
Launch of the portfolio
Strategia
The stratagy of the portfolio imply investments in fast growing IT sector stocks that gave significant growth potential. Undervalued stocks of value companies that generate regular dividends are included in the portfolio. This would allow to cushion the portfolio in case of declining volatile IT sector stocks.
Analisi
18.04.2022
Portfolio performance: 2.48%
Expected profit: 8.0%; risk: 1.2%
18.03.2022
Portfolio performance: -9.76%
Expected profit: 21.7%; risk: 23.2%
15.02.2022
Portfolio performance: -18.39%
Expected profit: 69.7%; risk: 37.5%
14.01.2022
Portfolio performance: -9.15%
Expected profit: 89.1%; risk: 63.5%
09.12.2021
Portfolio performance: -14.29%
Expected profit: 89.1%; risk: 63.5%
16.11.2021
Portfolio performance: 1.24%
Expected profit: 93.2%; risk: 63.9%
12.10.2021
Launch of the portfolio