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Friday, November 5, 2021

I am on my highest NET worth EVER: $338,959.91 - SHIT!

A few hours ago, I updated my investment portfolioAt now $338,959.91, my net worth is now super close to the $340,000. If I get lucky enough, I may be able to close the year 2021 on a $350,000 net worth - I would like that a lot. In my US portfolio, I had received dividend distribution for General Mills Inc. (GIS). Following what, I had a tiny little amount to invest. I decided to invest the small amount available in Pfizer Inc. (PFE). My newest investment made in Pfizer Inc. (PFE) closed today's session on a +2.21% gain. Also in my US portfolio, my investment in Vanguard Russell 1000 Growth Index Fund (VONG) gains so far 10.07%. Those US stocks are quite powerful. It's not easy however to find something great to invest in at a fair price, especially in the US.

Other than my US portfolio, my Canadian stocks are doing quite well. Everything is nice and easy with a TSX sitting on a fantastic 21,455.82 points. In a past post, a reader came with a reasonable question, asking why I hold so many stocks. My answer to that is: why not? The Canadian stock market contains many valuable assets. I try to have a well-diversified portfolio, in different sectors, in different companies. Personally, I don't want to miss out on anything. By that I mean, I wouldn't like to miss the opportunity to invest in a super good stock only because: oh, I cannot invest in this or this, because it will increase the number of companies that I hold inside my portfolio... You can simply resume this by: I love stocks and I invest in absolutely everything I want, when I what to.

And talking about stocks and new investments, Susan Brunner came with a new list of stocks to invest in during the month of November. In that list, we find a stock that caught my attention before: Empire Company Limited Non-Voting Class A Shares (EMP.A). I consider EMP.A as a future investment. 

Following my reader question, I wanted to fully illustrate why it is worth it - despite what you may think - to invest the way I do, my own little way. I had been on this post since this past Friday, but I didn't have time to complete it sooner. Below, I disclose - by portfolio - my stock performances. I like to do this kind of exercise from time to time. Currently, my best performer is Brookfield Renewable Partners L.P. (BEP.UN) with a gain of +349.72% (that being on the date of October 29, 2021).

Here are my profits - and sometimes losses - per portfolio, for each of my holdings. For me, this illustrates the importance and power of diversification. This is exactly why I will never stock searching for new investments. You just never know what you might discover next. I don't want to miss any opportunities, that's all.

Stocks and Units investment portfolio $CAN 

Canadian National Railway Co (CNR): +313.29%
WSP Global Inc. (WSP): 227,50%
Methanex Corporation (MX): +243.69%
TMX Group Inc. (X): +218.90%
George Weston Limited (WN): +160.66%
Loblaw Companies (L): +154.90%
New Flyer Industries Inc. (NFI): +95.43%
Savaria Corporation (SIS): +95.00%
Fortis Inc. (FTS): +89.72%
K-Bro Linen Inc. (KBL): +80.34%
Power Corporation of Canada Subordinate Voting Shares (POW): +75.09%
Enbridge Inc. (ENB): +71.20%
TransCanada Corp (TRP): +64.62%
Emera Inc. (EMA): +59.64%
Pembina Pipeline Corporation (PPL): +51.15%
iShares S&P/TSX Capped REIT Index (XRE): +48.98%
Canadian Imperial Bank Of Commerce (CM): +36.22%
Bank of Nova Scotia (BNS): +36%
Saputo Inc. (SAP): +18.88%
National Bank of Canada (NA): +1.12%

Stocks and Units investment portfolio $US:
Berkshire Hathaway Inc. (BRK.B): +98.56%
General Mills Inc. (GIS): +34.23%
Boyd Group Services Inc. (BYD): +11.16%
Vanguard Russell 1000 Growth Index Fund (VONG): +7.46% 

Tax-free savings account (TFSA):
Brookfield Renewable Energy Partners L.P. (BEP.UN): +294.66%
TFI International Inc. (TFII): +254.69%
Brookfield Infrastructure Partners L.P. (BIP.UN): +215.82%
WSP Global Inc. (WSP): +145.08%
Cargojet Inc. (CJT): +138.69%
Park Lawn Corporation (PLC): +134.86%
Toromont Industries Ltd (TIH): +134.13%
Canadian Apartment Properties Real Estate Investment Trust (CAR.UN): +118.71%
Canadian National Railway Co (CNR): +113.09%
Calian Group Ltd. (CGY): +101.21%
Exchange Income Corporation (EIF): +86.27%
CT Real Estate Investment Trust (CRT.UN): +85.12%
Granite Real Estate Investment Trust (GRT.UN): +78.54%
Morneau Shepell Inc. (MSI): +75.19%
Northland Power Inc. (NPI): +73.38%
Brookfield Asset Management Inc. Class A Limited Voting Shares (BAM.A): +70.69%
Boralex Inc. Class A Shares (BLX): +66.16%
Toronto-Dominion Bank (TD): +64.93%
Royal Bank of Canada (RY): +47.25%
Brookfield Infrastructure Corporation Class A Exchangeable Subordinate Voting Shares (BIPC): +45.07%
Nutrien Ltd. (NTR): +37.78%
Brookfield Renewable Corporation Class A Exchangeable Subordinate Voting Shares (BEPC): +34.40%
Suncor Energy Inc. (SU): +27.56%
3iQ CoinShares Ether ETF (ETHQ): +22,77%
TMX Group Limited (X): +20.73%
JFT Strategies Fund Class A Units (JFS.UN): +18.06%
Bitcoin Fund The Class A units (QBTC): +17.04%
Canadian Utilities Limited (CU): +16.06%
Savaria Corporation (SIS): +15.54%
BCE Inc. (BCE): +13.32%
CGI Inc. (GIB.A): +13.15%
Telus Corp (T): +11.18%
Purpose Bitcoin ETF CAD ETF non-currency hedged units (BTCC.B): +10.60%
Metro Inc. (MRU): +5.90%
Alimentation Couche-Tard Inc. (ATD.A): +5.36%
Rogers Communications Inc. (RCI.B): +3.43%
PFB Corporation (PFB): +3.27%
North West Company Inc. (The) (NWC): +1.02%
Aecon Group Inc. (ARE): -4.56%
ATCO Ltd. (ACO.Y): -5.41%
Fortis Inc. (FTS): -5,61%
SIR Royalty Income Fund (SRV.UN): -23.06%
Andrew Peller Limited (ADW.A): -21.18%
Tilray Inc (TLRY): -34.42%
Data Communications Mgmt (DCM): -99.50%
Dumont Nickel Inc. (DMNKF): -99,92%


RSP investment portfolio: 
Brookfield Renewable Partners L.P. (BEP.UN): +349.72%
Richards Packaging Income Fund (RPI.UN): +200.49%
Thomson Reuters Corporation (TRI): +183.10%
Park Lawn Corporation (PLC): +162.59%
Savaria Corporation (SIS): +138.96%
Toromont Industries Ltd (TIH): +131.73%
Toronto-Dominion Bank (TD): +113.48%
Emera Incorporated (EMA): +87.46%
CAE Inc. (CAE): +67.08%
Boralex Inc. Class A Shares (BLX): +66.60%
Royal Bank of Canada (RY): +63.42%
CGI Group Inc. Class A Subordinate Voting Shares (GIB.A): +62.31%
Telus Corp (T): +58.29%
Leon's Furniture Limited (LNF): +57.76%
Brookfield Renewable Corporation Class A Exchangeable Subordinate Voting Shares (BEPC): +28.93%
Quebecor Inc. (QBR.B): +26.52%
Bank of Nova Scotia (BNS): +26.04%
JFT Strategies Fund Class A Units (JFS.UN): +10.45%
AirBoss of America Corp. (BOS): -11.49%
Cascades Inc. (CAS): -13.47%
Logistec Corporation Class B Subordinate Voting Shares (LGT.B): -18.29%
Ovintiv Inc. (OVV): -70,86%
Rogers Communications Inc. Class B Non-voting Shares (RCI.B): +1.23%
Suncor Energy Inc. (SU): +5.37%


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