It was a week of correction on the European stock markets. WIG went down -2.25%, WIG20 -3.10%. In the same time, my selected stocks went down only -0.18%. It shows how important proper selection is. During running this portfolio, my wallet gained +20.54% vs. the benchmarks results WIG -1.40% and WIG20 -8.08%.
In the coming week 2 of the wallet companies will publish their quarterly financial results. For the time being, results published of the other 2 companies are very good and the composition of the portfolio has been still the same since 5th June 2016.
WSE wallet – total return: +20.54%
Week 15/08/2016 – 21/08/2016 -0.18%
Week 08/08/2016 – 14/08/2016 +2.34%
Week 01/08/2016 – 07/08/2016 +2.47%
Week 25/07/2016 – 31/07/2016 +1.21%
Week 18/07/2016 – 24/07/2016 +4.58%
Week 11/07/2016 – 17/07/2016 +4.35%
Week 04/07/2016 – 10/07/2016 -0.74%
Week 27/06/2016 – 03/07/2016 +2.05%
Week 20/06/2016 – 26/06/2016 +1.23%
Week 13/06/2016 – 19/06/2016 -3.76%
Week 06/06/2016 – 12/06/2016 -0.03%
Week 30/05/2016 – 05/06/2016 -1.90%
Week 23/05/2016 – 29/05/2016 +3.33%
Week 16/05/2016 – 22/05/2016 +1.54%
Week 09/05/2016 – 15/05/2016 +1.71%
Week 02/05/2016 – 08/05/2016 -1.05%
Week 25/04/2016 – 01/05/2016 -2.81%
Week 18/04/2016 – 24/04/2016 +1.26%
Week 11/04/2016 – 17/04/2016 +0.04%
Week 04/04/2016 – 10/04/2016 +2.74%
Week 28/03/2016 – 03/04/2016 +0.85%
Total return:
+20.54% – WSE wallet
-1.40% – WIG – Warszawski Indeks Giełdowy (Warsaw Stock Exchange Index)
-8.08% – WIG20
If you want to be informed about the investment portfolio composition and any changes straight away – read How to subscribe?
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