Just like in March, not much has happened in the Global Portfolio.

Portfolio Change. April 2022

Since this portfolio is much more concentrated, it doesn’t represent market movements. And I can’t compare it with any index. I won’t give up, anyway, will just keep paying in and buying up the positions, as I have the belief and guts to do so.

Portfolio structure. April 2022

A new position has appeared here. A monthly payment of £85.02 was made and 4 shares of the new position (#3) were bought @ £18.845 per share.

Position number four should be considered as it was not there at all, since that’s a Russian company that most likely in my lifetime will not get back up where I bought it. And any efforts to get rid of it now would be pointless.

All four positions are in the red. Nothing to report about.

Portfolio summary. April 2022

A total of £24.84 was left after the transaction, no dividends were received in April. Next month I plan to keep increasing position #2 until it reaches levels of position #1.

Summary

Currently, throwing darts like a blind monkey, I beat this portfolio with my Baltic index. Let’s keep throwing…