BHB Portfolio – Weekly Update – 14.08.2020
Weekly Performance: +0.5%
2020 Performance: +6.5%
- Purchases: None
- Sales: None
- Dividends: VOD
- Top Performers: MIRI, DGOC, GVC, BARC
- Worst Performers: CSCO, TSG, CEY, PAF, SSLN
Small BHB portfolio movement this week but some big individual moves underneath. Precious metals were the biggest losers with the Silver trade and miners dropping big. These drops have been covered however but the banking sector, some big moves from GVC and Mirriad Advertising and modest gains in the tech sector.
A quiet week regarding trades as I just watch to see what is happening in the markets and continue to review the quality of my current holdings.
Please to see Vodafone’s Q4 dividend payment come through. There was no rise in the dividend payment but not decrease either coming in at around 3.6% yield at current prices.