Looks about right. |
This post is meant to be short, because if I were to write about each security listed at length, not only would that post be way too long, I don't have time to fully research each and every single company in one sitting. I'll just be stating what I hold, and how I'm doing in the one month, three month, and twelve month time periods in terms of gains/losses.
Damned winking cat. |
The Portfolio
Disclaimer: This is not in any way a solicitation to invest in any of the securities listed in this post, or to invest at all. I am doing this for entertainment purposes, as a means to express my own opinions. I have no business relationship with any of the companies mentioned in the post. There is always risk involved with investment. Please do your Due Diligence before investing in anything.I have small positions (1-250 shares) in the following securities:
- Biostage, Inc. (Nasdaq:BSTG)
- Net Element Inc. (Nasdaq:NETE)
- The Coca-Cola Co. (NYSE:KO)
- Hawaiian Electric Industries (NYSE:HE)
- Bank of Hawaii Corp. (NYSE:BOH)
- New York Managment Trust, Inc. (Nasdaq:NYMT)
- UBS ETRACS Monthly Pay 2xLeveraged mREIT ETN (NYSEARCA:MORL)
As I find time to do it, I'll do some extra due diligence and post about the securities that really excite me from my portfolio list.
Future Plans
As I am currently in the process of building up my dividend-spawning collection as well as companies I like a lot, I am interested and will likely buy into the following securities in the next two weeks or so, after doing some due diligence (and posting my findings here!):
- Armour Residential REIT, Inc. (NYSE:ARR)
- Cornerstone Strategic Value Fund, Inc. (NYSEMKT:CLM)
- Square, Inc. (NYSE:SQ)
- Ford Motor Co. (NYSE:F)
- BSTG
- NETE
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