Portfolio activity - March 2022:
Buy |
Add |
Sell |
|
|
|
|
|
|
Portfolio performance - March 2022
company |
% of
portfolio |
computacenter |
6.7% |
unilever |
6.0% |
impact
healthcare |
5.8% |
glaxosmithkline |
4.2% |
anglo pacific |
4.1% |
telecom plus |
3.9% |
tritax big
box |
3.6% |
national grid |
3.5% |
hend. far
east income |
3.4% |
relx |
3.3% |
somero
enterprises |
3.1% |
diageo |
2.8% |
compass |
2.5% |
jpm asia
income & growth |
2.4% |
abcam |
2.4% |
british
american tobacco |
2.4% |
tate &
lyle |
2.3% |
reckitt
benckiser |
2.3% |
legal and
general |
2.3% |
euromoney |
2.2% |
schroders |
2.1% |
qinetiq |
2.0% |
duke royalty |
2.0% |
nichols |
2.0% |
ag barr |
1.8% |
smith &
nephew |
1.8% |
hargreaves
lansdown |
1.5% |
rws holdings |
1.3% |
eleco |
1.3% |
jersey
electricity |
1.2% |
homeserve |
1.2% |
888 holdings |
1.1% |
life sciences
reit |
1.1% |
blackbird |
0.8% |
craneware |
0.8% |
lancashire
holdings |
0.7% |
ab dynamics |
0.5% |
No comments:
Post a Comment