Total positions : 22 [Main Portfolio]
Month to Date
Main Portfolio : +5.28% [Ended Oct in +ve territory!]
Delta : +10.07%
Epsilon : +1.83%
S&P 500: -0.57%
QQQ : -0.45%
[MYR depreciated 5.9% vs USD in Oct]
Year to Date
Main Portfolio : +66.99%
Delta : +68.62%
Epsilon : +37.76%
S&P 500: +19.39%
QQQ : +18.08%
Top 5 positions in Main Portfolio - $NVDA $TSLA $AMZN $SHOP $GOOG
Month to Date
Main Portfolio : +5.28% [Ended Oct in +ve territory!]
Delta : +10.07%
Epsilon : +1.83%
S&P 500: -0.57%
QQQ : -0.45%
[MYR depreciated 5.9% vs USD in Oct]
Year to Date
Main Portfolio : +66.99%
Delta : +68.62%
Epsilon : +37.76%
S&P 500: +19.39%
QQQ : +18.08%
Top 5 positions in Main Portfolio - $NVDA $TSLA $AMZN $SHOP $GOOG
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Not too bad .... Overall portfolio +0.58% for the day
+10.5% for the month
+75.4% YTD
+10.5% for the month
+75.4% YTD
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GeekInvestor
commented on
Started seriously investing in the US stock market back in 2017 via a local investment bank; foucusing mainly in the technology sector. Today it is a 7 figure portfolio with 22 positions, which include the Magnificent 7 and my top gainer is >+8,000%.
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Annual performance of portfolio :
2017 +29.8%
2018 -4.3%
2019 +55.1%
2020 +197.0%
2021 +19.3%
2022 -59%
2023 +114.7%
CAGR 2017-2023 : >29%
Total posiitons : 22
2017 +29.8%
2018 -4.3%
2019 +55.1%
2020 +197.0%
2021 +19.3%
2022 -59%
2023 +114.7%
CAGR 2017-2023 : >29%
Total posiitons : 22
GeekInvestor
liked and commented on
Everytime $Tesla (TSLA.US)$ goes up by 10%, the gain will be 100% for me. That’s the power of compounding. If you stay invested with a great company, that’s what happens.
$NVIDIA (NVDA.US)$ $Apple (AAPL.US)$ $Broadcom (AVGO.US)$
$NVIDIA (NVDA.US)$ $Apple (AAPL.US)$ $Broadcom (AVGO.US)$
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GeekInvestor
liked
We’ll explore investment opportunities outside of Malaysia so that you have more options to diversify your portfolio!
Strengthening Your Portfolio with International Markets
Sep 5 07:00
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