Wednesday 7 September 2022

August 2022 portfolio update

 Portfolio activity - August 2022:

Buy

Add

Sell

VVUKEI


QinetiQ (QQ)

Portfolio performance - August 2022:

Portfolio: -4.0% 
Benchmark: -1.7%

Rolling 12 month portfolio dividend yield: 3.8%
Benchmark dividend yield: 3.05%

Portfolio valuation change since start:
Portfolio: +34.9%
Benchmark: +12.7%

Portfolio

company

% of portfolio

cash

8.2%

unilever

6.2%

computacenter

5.2%

impact healthcare

5.1%

telecom plus

4.4%

hend. far east income

4.0%

schroders

3.5%

anglo pacific

3.4%

jpm asia income & growth

3.1%

national grid

3.0%

relx

2.9%

duke royalty

2.9%

euromoney

2.9%

legal and general

2.9%

compass

2.7%

somero enterprises

2.6%

glaxosmithkline

2.5%

diageo

2.5%

reckitt benckiser

2.4%

british american tobacco

2.3%

tritax big box

2.2%

abcam

2.0%

tate & lyle

1.9%

vvukei

1.8%

homeserve

1.5%

ag barr

1.5%

nichols

1.4%

smith & nephew

1.4%

supermarket reit

1.3%

rws holdings

1.2%

hargreaves lansdown

1.1%

jersey electricity

1.0%

admiral

1.0%

blackbird

1.0%

eleco

0.9%

life sciences reit

0.9%

lancashire holdings

0.7%

craneware

0.7%

888 holdings

0.6%

haleon

0.6%

ab dynamics

0.5%

Saturday 30 July 2022

July 2022 portfolio update

Portfolio activity - July 2022:

Buy

Add

Sell

Admiral (ADM)

Schroders non-voting (SDRC)


Portfolio performance - July 2022:

Portfolio: +4.6% 
Benchmark: +4.8%

Rolling 12 month portfolio dividend yield: 3.8%
Benchmark dividend yield: 3.19%

Portfolio valuation change since start:
Portfolio: +40.6%
Benchmark: +14.6%

Portfolio

company

% of portfolio

cash

8.0%

unilever

6.1%

computacenter

5.3%

telecom plus

5.2%

impact healthcare

5.1%

hend. far east income

3.8%

schroders

3.8%

anglo pacific

3.3%

duke royalty

3.2%

glaxosmithkline

3.1%

national grid

3.1%

relx

3.1%

jpm asia income & growth

3.0%

legal and general

3.0%

euromoney

2.9%

compass

2.7%

tritax big box

2.6%

diageo

2.5%

reckitt benckiser

2.3%

qinetiq

2.3%

somero enterprises

2.2%

british american tobacco

2.1%

tate & lyle

2.0%

abcam

1.9%

nichols

1.6%

ag barr

1.6%

homeserve

1.5%

supermarket reit

1.4%

smith & nephew

1.4%

rws holdings

1.3%

hargreaves lansdown

1.1%

jersey electricity

1.0%

admiral

0.9%

eleco

0.9%

life sciences reit

0.9%

blackbird

0.8%

craneware

0.8%

888 holdings

0.7%

haleon

0.7%

lancashire holdings

0.7%

ab dynamics

0.5%


Thursday 21 July 2022

June 2022 portfolio update

   Portfolio activity - June 2022:

Buy

Add

Sell

 Supermarket REIT

Legal & General


Portfolio performance - June 2022:

Portfolio: -2% 
Benchmark: -6.4%

Rolling 12 month portfolio dividend yield: 3.8%
Benchmark dividend yield: 3.19%

Portfolio valuation change since start:
Portfolio: +34.4%
Benchmark: +9.3%

Portfolio

holding

% of portfolio

cash

8.5%

unilever

6.0%

impact healthcare

5.4%

computacenter

5.1%

telecom plus

4.8%

glaxosmithkline

4.3%

hend. far east income

4.1%

duke royalty

3.5%

jpm asia income & growth

3.2%

anglo pacific

3.2%

national grid

3.0%

relx

3.0%

legal and general

2.9%

euromoney

2.8%

tritax big box

2.6%

compass

2.5%

british american tobacco

2.5%

diageo

2.4%

schroders

2.4%

somero enterprises

2.4%

qinetiq

2.3%

reckitt benckiser

2.3%

abcam

2.0%

tate & lyle

2.0%

ag barr

1.6%

smith & nephew

1.6%

nichols

1.6%

homeserve

1.6%

supermarket reit

1.3%

rws holdings

1.2%

hargreaves lansdown

1.1%

jersey electricity

1.0%

blackbird

1.0%

eleco

1.0%

life sciences reit

1.0%

888 holdings

0.9%

craneware

0.8%

lancashire holdings

0.6%

ab dynamics

0.5%