My Stock Portfolio @ end July 2013

No. Stock Name Lots Portfolio% Avg Cost$ Breakeven$ Market$
1
Starhub
5
20.74
3.22
2.92
4.40
2
SPH
4
16.56
3.98
3.68
4.39
3
SGX
2
14.39
2.68
0.97
7.63
4
CapitaLand
2
6.09
3.91
3.69
3.23
5
CapitaMall Trust
3
5.74
1.71
1.24
2.03
6
CDL HTrust
3
4.71
1.66
1.22
1.665
7
Starhill Global
6
4.64
0.71
0.58
0.82
8
Suntec Reit
3
4.50
1.52
1.21
1.59
9
SingTel
1.2
4.41
3.21
3.05
3.93
10
Hyflux
2.5
3.08
1.70
1.58
1.305
11
AIMS AMPI Reit
2
3.00
1.635
1.66
1.59
12
HPH Trust
3
2.60
0.90
0.88
0.74
13
FE Orchard
1
1.91
1.18
0.88
2.03
14
CapitaMalls Asia
1
1.88
2.12
2.06
1.995
15
CitySpring
3
1.39
0.65
0.49
0.49
16
Boustead
1
1.32
1.44
1.50
1.40
17
Sing Post
1
1.24
0.875
0.71
1.315
18
SPH Reit
1
0.92
0.90
0.93
0.98
19
FE HTrust
1
0.88
0.93
0.93
0.935
Movement in my portfolio in July:-
Sold:- SP Ausnet
Bought:- Boustead, SPH Reit.

Dividends collected in July: $25
2013 avg dividends/month: $298.94

Bad month for dividends.  Thanks to SPH's special dividend payout, August will be another dividend harvesting month.

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