Friday, September 12, 2014

This is my entire portfolio and how it has done in the last year.
Name 2014-08-12 2014-08-19

Gain/Loss % Gain/Loss %
APPLE - AAPL:US 3.43% 6.46%
CHINA MOBILE - CHL:US 3.95% 16.05%
GOLDCORP - G -12.68% -13.74% SELL
CDN NATURAL RESOURCES – CNQ 53.57% 51.02% SELL
CANADIAN OIL SANDS – COS 2.56% 1.32%
GOLDCORP - G -11.32% -12.39% SELL
HSBC – HSBC -1.70% -0.39%
INTER PIPELINE – IPL 44.27% 47.99%
JP MORGAN CHASE – JPM 38.76% 40.33%
ROYAL BANK – RY 51.67% 53.13%
SUNCOR – SU 42.05% 42.55%
TORONTO DOMINION – TD 14.50% 15.15%
TWIN BUTTE – TBE -27.59% -20.53%
WELLS FARGO – WFC 56.10% 58.28%
YAMANA GOLD – YRI -23.53% -25.57% SELL
LLOYDS BANK – LYG 15.99% 16.66%
GENERAL ELECTRIC – GE 37.84% 40.31%
GOLDCORP G -10.67% -11.45% SELL
KELLOGG -K 26.10% 27.78%




average gain/loss % 15.17% 16.65%


It looks like I've done quite good, but not really. Some advisers on BNN have done 20 ~ 25%. And of course some have done worse. So, I've probably done average.