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by year download: Catfund_A.csv

red=minus, green P%Y >= 20% I%Y percent 20% above index,red fundname=privat, click on Seq for Symbols- (in USD) -
Year: 2018
Seq Fundname Exchange Stocks Quantity Buy date Sell date Index YTD I%Y Cost Value Profit P% Profit_Y P%Y AVGdays Typ
1 faang nasdaq 5 19 2018-01-01 2018-12-31 comp -3.88 -3.90 5'257 5'618 361 6.87 363 6.90 364 A
Fund 5 19 5'257 5'618 361 6.87 363 6.90
38 gold nyse 4 444 2018-01-01 2018-12-31 nya -11.20 -11.24 4'004 4'078 74 1.85 74 1.86 364 A
40 gold tsxv 5 116'944 2018-01-01 2018-12-31 jx -34.50 -34.62 5'000 7'542 2'542 50.83 2'550 51.01 364 A
Fund 9 117'388 9'004 11'620 2'616 29.05 2'625 29.15
49 silver nasdaq 1 64 2018-01-01 2018-12-31 comp -3.88 -3.90 996 934 -61 -6.17 -62 -6.19 364 A
50 silver nyse 4 863 2018-01-01 2018-12-31 nya -11.20 -11.24 3'993 3'244 -749 -18.75 -751 -18.82 364 A
52 silver tsxv 5 29'790 2018-01-01 2018-12-31 jx -34.50 -34.62 5'000 4'264 -736 -14.72 -739 -14.77 364 A
Fund 10 30'717 9'988 8'442 -1'546 -15.48 -1'552 -15.53
13 top nasdaq 3 341 2018-01-01 2018-12-31 comp -3.88 -3.90 2'997 1'860 -1'137 -37.95 -1'141 -38.08 364 A
14 top nyse 4 172 2018-01-01 2018-12-31 nya -11.20 -11.24 3'994 3'273 -721 -18.06 -724 -18.12 364 A
Fund 7 513 6'991 5'132 -1'859 -26.59 -1'865 -26.68
25 world nasdaq 2 651 2018-01-01 2018-12-31 comp -3.88 -3.90 2'002 1'068 -933 -46.63 -937 -46.79 364 A
Fund 2 651 2'002 1'068 -933 -46.63 -937 -46.79
Year 33 149'288 33'242 31'881 -1'361 -4.09 -1'366 -4.11 364
Year: 2019
Seq Fundname Exchange Stocks Quantity Buy date Sell date Index YTD I%Y Cost Value Profit P% Profit_Y P%Y AVGdays Typ
5 faang nasdaq 5 20 2019-01-01 2019-12-31 comp 35.23 35.34 5'613 7'885 2'273 40.49 2'280 40.63 364 A
Fund 5 20 5'613 7'885 2'273 40.49 2'280 40.63
42 gold nyse 4 494 2019-01-01 2019-12-31 nya 22.32 22.39 4'015 5'562 1'547 38.52 1'552 38.65 364 A
44 gold tsxv 5 133'453 2019-01-01 2019-12-31 jx 3.65 3.66 5'000 9'067 4'067 81.33 4'081 81.61 364 A
Fund 9 133'947 9'016 14'629 5'614 62.26 5'633 62.48
53 silver nasdaq 1 68 2019-01-01 2019-12-31 comp 35.23 35.34 993 1'611 618 62.26 620 62.47 364 A
54 silver nyse 4 1'110 2019-01-01 2019-12-31 nya 22.32 22.39 3'998 6'159 2'162 54.07 2'169 54.26 364 A
55 silver tsx 1 1'190 2019-01-01 2019-12-31 txcx 19.13 19.20 1'000 893 -107 -10.71 -107 -10.75 364 A
56 silver tsxv 5 51'100 2019-01-01 2019-12-31 jx 3.65 3.66 5'000 9'054 4'054 81.07 4'068 81.35 364 A
Fund 11 53'468 10'990 17'717 6'726 61.20 6'749 61.41
17 top nasdaq 4 3'832 2019-01-01 2019-12-31 comp 35.23 35.34 4'000 2'896 -1'104 -27.60 -1'108 -27.69 364 A
18 top nyse 6 435 2019-01-01 2019-12-31 nya 22.32 22.39 5'994 4'884 -1'111 -18.53 -1'115 -18.59 364 A
Fund 10 4'267 9'994 7'780 -2'215 -22.16 -2'222 -22.23
29 world nasdaq 2 1'224 2019-01-01 2019-12-31 comp 35.23 35.34 1'998 5'548 3'550 177.62 3'562 178.23 364 A
Fund 2 1'224 1'998 5'548 3'550 177.62 3'562 178.23
Year 37 192'926 37'611 53'559 15'948 42.40 16'002 42.55 364
Year: 2020
Seq Fundname Exchange Stocks Quantity Buy date Sell date Index YTD I%Y Cost Value Profit P% Profit_Y P%Y AVGdays Typ
9 faang nasdaq 5 13 2020-01-02 2020-07-02 comp 12.27 24.62 6'206 8'050 1'844 29.72 3'701 59.64 182 A
Fund 5 13 6'206 8'050 1'844 29.72 3'701 59.64
46 gold nyse 5 404 2020-01-02 2020-07-02 nya -14.36 -28.82 4'996 6'879 1'883 37.70 3'780 75.66 182 A
48 gold tsxv 7 153'654 2020-01-02 2020-07-02 jx 6.74 13.53 7'000 29'770 22'770 325.28 45'696 652.79 182 A
Fund 12 154'058 11'996 36'649 24'653 205.52 49'476 412.44
57 silver nasdaq 1 43 2020-01-02 2020-07-02 comp 12.27 24.62 1'010 1'257 248 24.53 497 49.23 182 A
58 silver nyse 4 823 2020-01-02 2020-07-02 nya -14.36 -28.82 4'011 4'108 97 2.41 194 4.84 182 A
59 silver tsx 2 1'349 2020-01-02 2020-07-02 txcx -8.64 -17.34 2'000 2'785 785 39.26 1'576 78.79 182 A
60 silver tsxv 6 53'834 2020-01-02 2020-07-02 jx 6.74 13.53 6'000 9'942 3'942 65.70 7'911 131.84 182 A
Fund 13 56'049 13'021 18'092 5'072 38.95 10'178 78.17
21 top nasdaq 5 3'936 2020-01-02 2020-07-02 comp 12.27 24.62 5'029 13'792 8'763 174.27 17'587 349.73 182 A
22 top nyse 7 1'019 2020-01-02 2020-07-02 nya -14.36 -28.82 6'974 19'006 12'032 172.53 24'146 346.25 182 A
Fund 12 4'955 12'002 32'797 20'795 173.26 41'733 347.71
33 world nasdaq 2 434 2020-01-02 2020-07-02 comp 12.27 24.62 2'001 4'982 2'981 148.95 5'982 298.92 182 A
Fund 2 434 2'001 4'982 2'981 148.95 5'982 298.92
Year 44 215'509 45'226 100'571 55'345 122.37 111'070 245.59 182
Total 114 557'723 116'079 186'010 69'932 60.24 125'707 108.29