Wednesday, May 26, 2010

Performance to date on USE ( 29 months)

BATU - 320, BOBU - 440, DFCU - 800, NIC - 60 ,NVL - 720, SBU - 200, UCL - 51


BOBU 20.7% annualised
NVL 6.2 %
DFCU 3.8%

Consolidated position is 4.3 % annualised.

Current Strategy
Buying: NVL
Watching: NIC, BATU
Selling: none

Best consolidated position has been 7% worst has been (18)%