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Sunday, January 01, 2006

Investment Portfolio Recap 2005

Well 2005 turned out to be a disappointing year for the US indices but I was still able to return over 10%. Here is how the books closed on my account for 2005.

2005 Return: 10.50%
(Includes Dividends, Commissions, & Option Trading)

Portfolio Breakdown:
Cerner (CERN) 12.52%
Chesapeake Energy (CHK) 9.47%
Titanium Metals (TIE) 7.26%
Altria (MO) 6.85%
Banco Bradesco (BBD) 6.69%
Citigroup (C) 6.68%
Gilead Sciences (GILD) 6.03%
Motorola (MOT) 5.81%
Tesoro (TSO) 5.65%

Cash 5.42%
Other Stocks 27.62%

Goals For 2006:
  • Return At Least 10%
  • Be more disciplined: use charts more often
  • Make more concentrated investments: reduce total number of stocks

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