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FINANCIAL CHRONICLE™ » FINANCIAL CHRONICLE™ » Please advice on my portfolio - I am so depressed

Please advice on my portfolio - I am so depressed

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GoodPick


Senior Equity Analytic
Senior Equity Analytic
Qty Cost cost curr_price Profit/Loss
ATL.N0000 200 2.29 457 2.3 -2
BFL.N0000 2,912 422 1,228,878 351.7 -215,174
DIAL.N0000 46,800 12.24 573,033 9.5 -132,968
EXPO.N0000 500 12.85 6,425 12.6 -189
FLCH.N0000 13,000 5.06 65,775 4.5 -7,872
GLAS.N0000 1,000 11.02 11,024 9.8 -1,324
JKH.N0000 1,400 308.48 431,877 293.3 -25,446
LGL.X0000 500 30.72 15,358 30.5 -263
NHL.N0000 5,000 3.94 19,719 4 78
PCH.N0000 200 18.73 3,746 20 214
TAFL.N0000 800 179.64 143,714 101.5 -63,342
2,500,005 -446,288



Last edited by GoodPick on Tue Jun 21, 2011 9:07 pm; edited 2 times in total

Fresher


Moderator
Moderator
mine is worse.
anyway, if u take out TAFL & DIAL, it seems much better.
out of the list, only dial is higher price than me in our common stocks

GoodPick


Senior Equity Analytic
Senior Equity Analytic
npp wrote:mine is worse.
anyway, if u take out TAFL & DIAL, it seems much better.
out of the list, only dial is higher price than me in our common stocks

Why ? didn't you notice my BFL loss ?

ShareShares


Assistant Vice President - Equity Analytics
Assistant Vice President - Equity Analytics
Most of them may return to higher levels with overall recovery of the share market. All have experienced a similar situation. I just wait for couple of weeks without doing any thing.

Fresher


Moderator
Moderator
@GoodPick wrote:
npp wrote:mine is worse.
anyway, if u take out TAFL & DIAL, it seems much better.
out of the list, only dial is higher price than me in our common stocks

Why ? didn't you notice my BFL loss ?

I wont be too worried about that as I personally think it will bounce back. You shouldn't worry unless you want to sell it soon

nkalansu


Senior Manager - Equity Analytics
Senior Manager - Equity Analytics
Friend If you have seen my portfolio then you would be very very very pleased with your current position.

Hiru


Manager - Equity Analytics
Manager - Equity Analytics
BFL has some potential to go up soon, but DIAL is not worth this much as the industry is high-tech-obsolescence of assets are frequent.

TAFL wont pick up soon, but will start its turn around November (Need further analysis).

Others have decent value. GLASS and EXPO will take some time to pick up.

This is my understanding and others comments may better serve your purpose .

schacha


Manager - Equity Analytics
Manager - Equity Analytics
Thats why PPl need the practice of investments than day trading. I have red stocks but overall my PF s still green.

xhora

xhora
Senior Manager - Equity Analytics
Senior Manager - Equity Analytics
OMG dude u seriously want to change ur name.
Until I saw ur list I thought My PF was bad.

You have got PCH, EXPO, NHL at good prices why didn't u sell PCH at 22 recently?
BFL, GLAS and FLCH can go up in the short term.
ATL, JKH, DIAL, LGL will perform in long term.

current market is highly unpredictable so best thing to do is monitor the situation and average some costs if any share hits bottom. It may be good to collect some DIAL at 9.5. and GLAS less than 10 and FLCH too.

Atleast you have invested in some good fundamental shares.

ipoguru


Senior Manager - Equity Analytics
Senior Manager - Equity Analytics
@GoodPick wrote: Qty Cost cost curr_price Profit/Loss
ATL.N0000 200 2.29 457 2.3 -2
BFL.N0000 2,912 422 1,228,878 351.7 -215,174
DIAL.N0000 46,800 12.24 573,033 9.5 -132,968
EXPO.N0000 500 12.85 6,425 12.6 -189
FLCH.N0000 13,000 5.06 65,775 4.5 -7,872
GLAS.N0000 1,000 11.02 11,024 9.8 -1,324
JKH.N0000 1,400 308.48 431,877 293.3 -25,446
LGL.X0000 500 30.72 15,358 30.5 -263
NHL.N0000 5,000 3.94 19,719 4 78
PCH.N0000 200 18.73 3,746 20 214
TAFL.N0000 800 179.64 143,714 101.5 -63,342
2,500,005 -446,288
Don't sell them at current prices... If you want money quickly at least wait for next bull run..

Note that second and fourth quarter results are normally good for chicken stocks. At least wait for second quarter results..

I noticed half of your portfolio is BFL ... study their financials at least for last 10 years and predict what is the potential for upcoming years.... You may be able to understand what's the share actually worth and get a decision...
Think it as your own business... If possible try to get some inside information about BFL..... I do not think its that hard to find someone working in BFL..... May not be in the management but you can get some idea about the second quarter results....

I only hold FLCH from your portfolio stocks and I think you know its value more than current prices and do not worry you will get a good profit from it.... May be in a year or so.

Note that I am not an expert and its up to you to decide what to do with your money....


roshanalv

roshanalv
Manager - Equity Analytics
Manager - Equity Analytics
Please advice on my portfolio - I am so depressed Ros12[b]

Look @ My Portfolio , God Bless me

ISURU

ISURU
Senior Manager - Equity Analytics
Senior Manager - Equity Analytics
@roshanalv wrote:Please advice on my portfolio - I am so depressed Ros12[b]

Look @ My Portfolio , God Bless me
DFCC avg cost 465?
UBC avg cost @ 40s?



Last edited by ISURU on Tue Jun 21, 2011 11:00 pm; edited 1 time in total

Gaja


Associate Director - Equity Analytics
Associate Director - Equity Analytics
@roshanalv wrote:Please advice on my portfolio - I am so depressed Ros12[b]

Look @ My Portfolio , God Bless me

Check ur average cost, i think DFCC Nos & Cost didn't much, think one is before split & other one is after split

ISURU

ISURU
Senior Manager - Equity Analytics
Senior Manager - Equity Analytics
@Gaja wrote:
@roshanalv wrote:Please advice on my portfolio - I am so depressed Ros12[b]

Look @ My Portfolio , God Bless me

Check ur average cost, i think DFCC Nos & Cost didn't much, think one is before split & other one is after split
It seems he has followed lots of rallies. See BlueX, GEST and UBC

roshanalv

roshanalv
Manager - Equity Analytics
Manager - Equity Analytics
Yes , Only DFCC avg cost is not right , but rest of them correct.

Yes , I did followed some rallies blindly. This is good lesson 4 me. I do have patience, so l'll wait.

Chanuque

Chanuque
Manager - Equity Analytics
Manager - Equity Analytics
@GoodPick wrote:
Qty Cost cost curr_price Profit/Loss
BFL.N0000 2,912 422 1,228,878 351.7 -215,174
DIAL.N0000 46,800 12.24 573,033 9.5 -132,968
JKH.N0000 1,400 308.48 431,877 293.3 -25,446
TAFL.N0000 800 179.64 143,714 101.5 -63,342

Your BadPick s are mainly bought at the tail ends of rallies. If a third person is forcing you to sell, dispose TAFL | JKH | BFL .. DIAL hang on ..

Chanuque

Chanuque
Manager - Equity Analytics
Manager - Equity Analytics
roshanalv, BLUE X | UBC | GRAN bought at wrong levels .. Good Luck !

roshanalv

roshanalv
Manager - Equity Analytics
Manager - Equity Analytics
cheers guys ,

Tiger

Tiger
Assistant Vice President - Equity Analytics
Assistant Vice President - Equity Analytics
you should have gone for much broader diversification, even current market is full of opportunities if you can identify.

Don't buy into growth stories which are not supported by numbers, look at overvalued shares and dispose some quantity. Don't scared to make losses, if you become scared to record losses your losses will be greater and you will miss many other opportunities.

bettersrilanka

bettersrilanka
Manager - Equity Analytics
Manager - Equity Analytics
I would like to know the reason,why do you keep 200 shares in ATL.very small amount,small share?? is there any other benefits??? Question

http://lankafunpicture.blogspot.com

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