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AITKEN SPENCE HOTEL HOLDINGS PLC
ANILANA HOTELS AND PROPERTIES PLC
B
BLUE DIAMONDS JEWELLERY WORLDWIDE PLC
C
CARGO BOAT DEVELOPMENT COMPANY PLC
CEYLON GRAIN ELEVATORS PLC Hot
COLOMBO FORT LAND & BUILDING PLC
COMMERCIAL CREDIT AND FINANCE PLC
D
DIALOG AXIATA PLC
DISTILLERIES COMPANY OF SRI LANKA PLC
E
F
G
H
HAYLEYS FABRIC PLC
HVA FOODS PLC
J
JANASHAKTHI INSURANCE COMPANY PLC
JOHN KEELLS HOLDINGS PLC Hot
JOHN KEELLS HOTELS PLC
L
LANKEM CEYLON PLC
LAUGFS GAS PLC
LUCKY LANKA MILK PROCESSING COMPANY PLC
M
N
NATION LANKA FINANCE PLC
NESTLE LANKA PLC
O
P
PEOPLE'S LEASING & FINANCE PLC
PIRAMAL GLASS CEYLON PLC
R
RICHARD PIERIS AND COMPANY PLC
RICHARD PIERIS EXPORTS PLC Hot
ROYAL CERAMICS PLC
S
SOFTLOGIC LIFE INSURANCE PLC
SRI LANKA TELECOM PLC
T
TESS AGRO PLC
TOKYO CEMENT COMPANY (LANKA) PLC Hot
U
V
VALLIBEL ONE PLC Hot
W
Above portfolio is full of Penney stock, I would prefer portfolio like below, it is only my personnel view.@කොටස් වෙළඳපොළ2020 wrote:
Stock code | Weightage |
AAF.N0000 | 1.86% |
ACAP.N0000 | 0.02% |
ACL.N0000 | 1.11% |
ACME.N0000 | 0.70% |
AGST.N0000 | 0.31% |
ALUF.N0000 | 0.99% |
ALUM.N0000 | 0.23% |
AMSL.N0000 | 0.00% |
ASIR.N0000 | 0.10% |
ASIY.N0000 | 2.65% |
BLUE.X0000 | 0.04% |
BPPL.N0000 | 3.76% |
BRWN.N0000 | 1.61% |
CFLB.N0000 | 0.70% |
CFVF.N0000 | 0.46% |
CINV.N0000 | 2.05% |
CITW.N0000 | 0.26% |
CLC.N0000 | 0.43% |
CLND.N0000 | 0.27% |
COLO.N0000 | 0.08% |
COMB.X0000 | 0.02% |
DIAL.N0000 | 1.39% |
DIMO.N0000 | 0.01% |
DIPD.N0000 | 6.69% |
DIST.N0000 | 0.57% |
EAST.N0000 | 0.99% |
ELPL.N0000 | 1.13% |
EXPO.N0000 | 2.63% |
GLAS.N0000 | 0.74% |
GUAR.N0000 | 0.97% |
HVA.N0000 | 0.87% |
KOTA.N0000 | 0.40% |
KVAL.N0000 | 1.79% |
KZOO.N0000 | 0.37% |
LDEV.N0000 | 2.28% |
LFIN.N0000 | 29.08% |
LHCL.N0000 | 0.56% |
LITE.N0000 | 0.55% |
LOLC.N0000 | 6.96% |
LPL.X0000 | 0.06% |
LVEF.N0000 | 0.27% |
MAL.X0000 | 0.15% |
MASK.N0000 | 0.35% |
MBSL.N0000 | 0.03% |
MEL.N0000 | 0.14% |
MELS.N0000 | 0.27% |
MGT.N0000 | 7.00% |
MHDL.N0000 | 0.05% |
NHL.N0000 | 1.21% |
PAP.N0000 | 1.01% |
PLC.N0000 | 0.05% |
PMB.N0000 | 0.01% |
RAL.N0000 | 0.45% |
REXP.N0000 | 2.63% |
RGEM.N0000 | 0.19% |
RICH.N0000 | 1.64% |
RIL.N0000 | 0.79% |
SINH.N0000 | 2.03% |
SINS.N0000 | 0.29% |
SIRA.N0000 | 0.65% |
SPEN.N0000 | 0.61% |
TFC.N0000 | 0.06% |
TFC.X0000 | 0.01% |
TKYO.X0000 | 0.43% |
VLL.N0000 | 0.36% |
VONE.N0000 | 3.38% |
WATA.N0000 | 0.14% |
YORK.N0000 | 0.13% |
Sub Total | 100.00% |
Penny+Trading stocks limit to 19% |
judecroos and කොටස් වෙළඳපොළ2020 like this post
RJ1010 and skyrocket like this post
@කොටස් වෙළඳපොළ2020 wrote:
RJ1010 and කොටස් වෙළඳපොළ2020 like this post
@jaya wrote:Above portfolio is full of Penney stock, I would prefer portfolio like below, it is only my personnel view.@කොටස් වෙළඳපොළ2020 wrote:
Stock code Weightage AAF.N0000 1.86% ACAP.N0000 0.02% ACL.N0000 1.11% ACME.N0000 0.70% AGST.N0000 0.31% ALUF.N0000 0.99% ALUM.N0000 0.23% AMSL.N0000 0.00% ASIR.N0000 0.10% ASIY.N0000 2.65% BLUE.X0000 0.04% BPPL.N0000 3.76% BRWN.N0000 1.61% CFLB.N0000 0.70% CFVF.N0000 0.46% CINV.N0000 2.05% CITW.N0000 0.26% CLC.N0000 0.43% CLND.N0000 0.27% COLO.N0000 0.08% COMB.X0000 0.02% DIAL.N0000 1.39% DIMO.N0000 0.01% DIPD.N0000 6.69% DIST.N0000 0.57% EAST.N0000 0.99% ELPL.N0000 1.13% EXPO.N0000 2.63% GLAS.N0000 0.74% GUAR.N0000 0.97% HVA.N0000 0.87% KOTA.N0000 0.40% KVAL.N0000 1.79% KZOO.N0000 0.37% LDEV.N0000 2.28% LFIN.N0000 29.08% LHCL.N0000 0.56% LITE.N0000 0.55% LOLC.N0000 6.96% LPL.X0000 0.06% LVEF.N0000 0.27% MAL.X0000 0.15% MASK.N0000 0.35% MBSL.N0000 0.03% MEL.N0000 0.14% MELS.N0000 0.27% MGT.N0000 7.00% MHDL.N0000 0.05% NHL.N0000 1.21% PAP.N0000 1.01% PLC.N0000 0.05% PMB.N0000 0.01% RAL.N0000 0.45% REXP.N0000 2.63% RGEM.N0000 0.19% RICH.N0000 1.64% RIL.N0000 0.79% SINH.N0000 2.03% SINS.N0000 0.29% SIRA.N0000 0.65% SPEN.N0000 0.61% TFC.N0000 0.06% TFC.X0000 0.01% TKYO.X0000 0.43% VLL.N0000 0.36% VONE.N0000 3.38% WATA.N0000 0.14% YORK.N0000 0.13% Sub Total 100.00% Penny+Trading stocks limit to 19%
geesura likes this post
If I have above portfolio in current situation, My action would be :@කොටස් වෙළඳපොළ2020 wrote:
Keshav and RJ1010 like this post
Correction : Invest from Disposal proceeds@Win Win wrote:If I have above portfolio in current situation, My action would be :@කොටස් වෙළඳපොළ2020 wrote:
Dispose immediately
No suppose to purchase again : BIL / BUKI / SHL
Suppose to purchase again at bottom or CMP : RIL / OSEA
Invest from Disposal profits
DIPD / HAYC / HAYL / TPL (72) / BPPL (12) / PARQ (48)
This is my personal view and judgement. his might not be the best for another as per their judgement as well as risk behaviors..
No expectation to direct for a decision, but share my honest action would be !!
Keep ral and ril you can sell it with profit or break even,try to buy pap and osea at bottom price,other shares better to sell and go for mid or long term investments.@කොටස් වෙළඳපොළ2020 wrote:
u gotta be kidding me..diversifying the portfolio is good but is this diversification this just like a kottu roti dont take it serious but it is way too difficult to handle a portfolio l???@jaya wrote:Above portfolio is full of Penney stock, I would prefer portfolio like below, it is only my personnel view.@කොටස් වෙළඳපොළ2020 wrote:
Stock code Weightage AAF.N0000 1.86% ACAP.N0000 0.02% ACL.N0000 1.11% ACME.N0000 0.70% AGST.N0000 0.31% ALUF.N0000 0.99% ALUM.N0000 0.23% AMSL.N0000 0.00% ASIR.N0000 0.10% ASIY.N0000 2.65% BLUE.X0000 0.04% BPPL.N0000 3.76% BRWN.N0000 1.61% CFLB.N0000 0.70% CFVF.N0000 0.46% CINV.N0000 2.05% CITW.N0000 0.26% CLC.N0000 0.43% CLND.N0000 0.27% COLO.N0000 0.08% COMB.X0000 0.02% DIAL.N0000 1.39% DIMO.N0000 0.01% DIPD.N0000 6.69% DIST.N0000 0.57% EAST.N0000 0.99% ELPL.N0000 1.13% EXPO.N0000 2.63% GLAS.N0000 0.74% GUAR.N0000 0.97% HVA.N0000 0.87% KOTA.N0000 0.40% KVAL.N0000 1.79% KZOO.N0000 0.37% LDEV.N0000 2.28% LFIN.N0000 29.08% LHCL.N0000 0.56% LITE.N0000 0.55% LOLC.N0000 6.96% LPL.X0000 0.06% LVEF.N0000 0.27% MAL.X0000 0.15% MASK.N0000 0.35% MBSL.N0000 0.03% MEL.N0000 0.14% MELS.N0000 0.27% MGT.N0000 7.00% MHDL.N0000 0.05% NHL.N0000 1.21% PAP.N0000 1.01% PLC.N0000 0.05% PMB.N0000 0.01% RAL.N0000 0.45% REXP.N0000 2.63% RGEM.N0000 0.19% RICH.N0000 1.64% RIL.N0000 0.79% SINH.N0000 2.03% SINS.N0000 0.29% SIRA.N0000 0.65% SPEN.N0000 0.61% TFC.N0000 0.06% TFC.X0000 0.01% TKYO.X0000 0.43% VLL.N0000 0.36% VONE.N0000 3.38% WATA.N0000 0.14% YORK.N0000 0.13% Sub Total 100.00% Penny+Trading stocks limit to 19%
It was given me reasonable returned daily out of one trading day in this month and so on last few months ( As I was lock down due to closure of Air Port therefore fully engage in CSE) Hope to do until the bull mode will over. Realized profit 10 - 5% of Portfolio Value per month and it is fair enough for me.@kottuwa wrote:u gotta be kidding me..diversifying the portfolio is good but is this diversification this just like a kottu roti dont take it serious but it is way too difficult to handle a portfolio l???@jaya wrote:Above portfolio is full of Penney stock, I would prefer portfolio like below, it is only my personnel view.@කොටස් වෙළඳපොළ2020 wrote:
Stock code [size=12][b][size=12][b][size=12][b][size=12][b]Weightage[/b][/size][/b][/size][/b][/size][/b][/size] AAF.N0000 1.86% ACAP.N0000 0.02% ACL.N0000 1.11% ACME.N0000 0.70% AGST.N0000 0.31% ALUF.N0000 0.99% ALUM.N0000 0.23% AMSL.N0000 0.00% ASIR.N0000 0.10% ASIY.N0000 2.65% BLUE.X0000 0.04% BPPL.N0000 [size=12][b][size=12][b][size=12][b][size=12][b]3.76%[/b][/size][/b][/size][/b][/size][/b][/size] BRWN.N0000 1.61% CFLB.N0000 0.70% CFVF.N0000 0.46% CINV.N0000 2.05% CITW.N0000 0.26% CLC.N0000 0.43% CLND.N0000 0.27% COLO.N0000 0.08% COMB.X0000 0.02% DIAL.N0000 1.39% DIMO.N0000 0.01% DIPD.N0000 [size=12][b][size=12][b][size=12][b][size=12][b]6.69%[/b][/size][/b][/size][/b][/size][/b][/size] DIST.N0000 0.57% EAST.N0000 0.99% ELPL.N0000 1.13% EXPO.N0000 2.63% GLAS.N0000 0.74% GUAR.N0000 0.97% HVA.N0000 0.87% KOTA.N0000 0.40% KVAL.N0000 1.79% KZOO.N0000 0.37% LDEV.N0000 2.28% LFIN.N0000 [size=12][b][size=12][b][size=12][b][size=12][b]29.08%[/b][/size][/b][/size][/b][/size][/b][/size] LHCL.N0000 0.56% LITE.N0000 0.55% LOLC.N0000 [size=12][b][size=12][b][size=12][b][size=12][b]6.96%[/b][/size][/b][/size][/b][/size][/b][/size] LPL.X0000 0.06% LVEF.N0000 0.27% MAL.X0000 0.15% MASK.N0000 0.35% MBSL.N0000 0.03% MEL.N0000 0.14% MELS.N0000 0.27% MGT.N0000 [size=12][b][size=12][b][size=12][b][size=12][b]7.00%[/b][/size][/b][/size][/b][/size][/b][/size] MHDL.N0000 0.05% NHL.N0000 1.21% PAP.N0000 1.01% PLC.N0000 0.05% PMB.N0000 0.01% RAL.N0000 0.45% REXP.N0000 2.63% RGEM.N0000 0.19% RICH.N0000 1.64% RIL.N0000 0.79% SINH.N0000 2.03% SINS.N0000 0.29% SIRA.N0000 0.65% SPEN.N0000 0.61% TFC.N0000 0.06% TFC.X0000 0.01% TKYO.X0000 0.43% VLL.N0000 0.36% VONE.N0000 [size=12][b][size=12][b][size=12][b][size=12][b]3.38%[/b][/size][/b][/size][/b][/size][/b][/size] WATA.N0000 0.14% YORK.N0000 0.13% Sub Total [size=12][b][size=12][b][size=12][b][size=12][b]100.00%[/b][/size][/b][/size][/b][/size][/b][/size] Penny+Trading stocks limit to 19% ![]()
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bhanu, RJ1010 and geesura like this post
@dayandacool wrote:@කොටස් වෙළඳපොළ2020 wrote:
No distant runners. all are sprinters. Are you in it for the short term???
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