VictorQues
Week 20 Summary Week 20 of 2024 has been quite a good week. My portfolio wen up 1.85% May: +6.05% 2024: +8.75% It has been quite good week again making a good first half of May. Closed position during this week: $PFE (Pfizer) +1.60% after 127 days I decided to close as the perspective of growth are low at this point. I gave a dividend yield of 1.25% on top during this time. $PRU.L (Prudential) +16.35% after 17 days, I decided to close on of my positions to cash the benefits. $HUM (Humana Inc) +12.64% after 22 days I also decided to close one of my positions to cash the benefits. $MEI (Methode Electronics Inc) +6.37% after 6 days here I open a second potion las week and I close it after interesting jump before it goes down again $LEA (Lear Corp) +0.88% in 13 days, close before went to negative keeping an eye for future. $STLAM.MI (Stellantis NV) +5.20% in 9 days $DTE.DE (Deutsche Telekom AG) 2.50% in 21 days $OCI.NV (OCI NV) 1.61% in 2 days $VOD (Vodafone Group plc-ADR) 1.23% in 211 days, after holding it for a quite I decided to sell once this investment was back to green, dividend during this period was also interesting. I still think is an interesting asse once it goes down again. $CA.PA (Carrefour SA) 4.26% in 20 days $NOMD (Nomad Foods Ltd) 3.40% in 7 days $S92.DE (SMA Solar Technology AG) 4.28% in 6 days $PHM.MC (Pharma Mar SA) 0.91% in 81 days close before went to negative keeping an eye for future. $BAYN.DE (Bayer AG) 2.04% in 103 days close before went to negative keeping an eye for future. $WBA (Walgreens Boots Alliance Inc) 0.95% in 13 days close before went to negative keeping an eye for future. $TEP.PA (Teleperformance SE) 5.27% in 6 days As you can see, I keep my strategy combining short-medium investment with longer term investment focusing on companies that are giving dividends. New open positions: NKE, HD, CRC, CVS, PRPX, SZG.DE, MSCI, UMI.BR, MTS.MC, AOX.DE, AGCO, NOMD, LKQ, PZZA Thanks for your attention. Victor