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Post by Matthew Clinger on Oct 1, 2013 17:20:53 GMT -8
As of October 1st, 2013 :
2012 November's portfolio : +34.59% 2012 December's portfolio : +32.42% 2013 January's portfolio : +29.71% 2013 February's portfolio : +33.20% 2013 March's portfolio : +35.88% 2013 April's portfolio : +30.53% 2013 May's portfolio : +15.28% (U.S. Companies only = +14.25%) (Foreign Companies Only = +16.82%) 2013 June's portfolio : +5.19%% (U.S. Companies only = -0.96%) (Foreign Companies Only = +18.36%) 2013 July's portfolio : +11.22% (U.S. Companies only = -1.35%) (Foreign Companies Only = +32.17%) 2013 August's portfolio : +6.62% (U.S. Companies only = -9.81%) (Foreign Companies Only = +27.16%) 2013 September's portfolio : +2.74% (U.S. Companies only = +0.28%) (Foreign Companies Only = +10.50%)
Previous to May's portfolio, all portfolios held only stocks from U.S.-based companies.
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Post by Matthew Clinger on Nov 2, 2013 5:05:51 GMT -8
Here is the 2013 November portfolio. The companies based in countries other than the USA have had their stock symbol turned blue on the list. Attachments:
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Post by Matthew Clinger on Dec 2, 2013 5:56:53 GMT -8
Here is the 2013 December portfolio. The companies based in countries other than the USA have had their stock symbol turned blue on the list. Attachments:
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Post by Matthew Clinger on Dec 11, 2013 1:46:23 GMT -8
As of November 1st, 2013 :
2012 November's portfolio : - 1 -year achieved - Portfolio Closed - Final Result =+37.50% 2012 December's portfolio : +35.42% 2013 January's portfolio : +33.69% 2013 February's portfolio : +33.32% 2013 March's portfolio : +31.88% 2013 April's portfolio : +26.88% 2013 May's portfolio : +18.50% 2013 June's portfolio : +9.23% 2013 July's portfolio : +16.24% 2013 August's portfolio : +11.56% 2013 September's portfolio : +8.27% 2013 October's portfolio : +5.47%
Previous to May's portfolio, all portfolios held only stocks from U.S.-based companies. As of this post, public records are not being kept for the differences between companies based in the USA vs other countries.
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Post by Matthew Clinger on Dec 11, 2013 1:52:13 GMT -8
As of December 1st, 2013 :
2012 November's portfolio : - 1 -year achieved - Portfolio Closed - Final Result =+37.50% 2012 December's portfolio : - 1 -year achieved - Portfolio Closed - Final Result =+40.91% 2013 January's portfolio : +40.28% 2013 February's portfolio : +38.47% 2013 March's portfolio : +38.13% 2013 April's portfolio : +34.17% 2013 May's portfolio : +33.46% 2013 June's portfolio : +20.10% 2013 July's portfolio : +28.07% 2013 August's portfolio : +24.63% 2013 September's portfolio : +17.87% 2013 October's portfolio : +17.03% 2013 November's portfolio : +11.28%
Previous to May's portfolio, all portfolios held only stocks from U.S.-based companies.
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Post by Matthew Clinger on Dec 11, 2013 2:13:32 GMT -8
Here is the 6-month update of the 2013 May portfolio. As you can see, it is the first of my portfolios to be beaten by any of the comparisons. The NASDAQ Composite simulation beat the portfolio simulation 18.88% to 18.5%, a difference of .38%. The other four comparisons were all beaten. Attachments:
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Post by Matthew Clinger on Dec 11, 2013 2:27:14 GMT -8
Here is the 6-month update of the 2013 June portfolio. Attachments:
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