[email protected]'s current holdings are as follows:

Total dividends received: $0.00
Cash on hand (including dividends): $37,662.62 (33% of portfolio)
Total fees paid: $64.35
Net profit on share sales: $0.00
Tax on profit (reflected on leaderboard): $0.00

CodeNameNo. of sharesAve. cost (excl fees)Current price% growthValue% of portfolio
 
AMGN Amgen, Inc. 20 $194.88 $206.49 5.96% $4,129.80 3.62%
BKNG Booking Holdings Inc 8 $1,830.90 $1,873.31 2.32% $14,986.48 13.13%
DIS Walt Disney Co 58 $128.82 $134.49 4.4% $7,800.42 6.83%
ILMN Illumina, Inc. 18 $307.70 $285.02 -7.37% $5,130.36 4.5%
INTC Intel Corporation 100 $53.70 $45.79 -14.73% $4,579.00 4.01%
MA Mastercard Inc 20 $235.45 $284.45 20.81% $5,689.00 4.98%
V Visa Inc Class A 90 $167.38 $178.38 6.57% $16,054.20 14.07%
VTI Vanguard Total Stock Market ETF 40 $143.75 $157.79 9.77% $6,311.60 5.53%
WFC Wells Fargo & Co 220 $44.66 $53.56 19.93% $11,783.20 10.32%

Total worth: $114,126.68

Transaction History

Transaction dateCodeNameNo. of sharesPriceValue incl. fees 
 
2019-03-05 08:35:38 ILMN Illumina, Inc. 18 $307.70 $5,543.55  
2019-03-05 08:37:10 VTI Vanguard Total Stock Market ETF 40 $143.75 $5,754.95  
2019-03-05 08:37:18 V Visa Inc Class A 18 $147.96 $2,668.23  
2019-04-01 03:53:01 INTC Intel Corporation 100 $53.70 $5,374.95  
2019-04-01 03:57:14 BKNG Booking Holdings Inc 4 $1,744.91 $6,984.59  
2019-04-01 03:58:02 MA Mastercard Inc 20 $235.45 $4,713.95  
2019-04-09 03:35:44 AMGN Amgen, Inc. 20 $194.88 $3,902.55  
2019-04-12 04:29:58 DIS Walt Disney Co 21 $116.60 $2,453.55  
2019-04-12 04:30:48 V Visa Inc Class A 16 $157.86 $2,530.71  
2019-08-13 03:50:02 V Visa Inc Class A 56 $176.34 $9,879.99  
2019-08-13 03:51:41 DIS Walt Disney Co 37 $135.75 $5,027.70  
2019-08-13 03:53:35 BKNG Booking Holdings Inc 4 $1,916.89 $7,672.51  
2019-08-26 10:04:50 WFC Wells Fargo & Co 220 $44.66 $9,830.15  


Dividend History

LDTCodeNameNo. of sharesDividend per shareTotal dividend