Portfolio
$268,050.93+2,432.06 (+0.92%) Today
Allocation
Allocation
Financials
Technology
Consumer Goods
Industrial
Allocation
Gain/Loss (Total)+$38,20.71 (+16.6%)
Dividend Yield3.7%
Today's Gain/Loss+$2,432.06 (+0.92%)
Dividend Yield3.7%
| Name | Ticker | Shares | Price | Total Value | Today's Change |
|---|---|---|---|---|---|
| Berkshire Hathaway Inc. | BRK.B | 100 | $388.41 | $38,841.00 | +$112.00 (+43.2%) |
| Global Tech Solutions | GTS | 250 | $123.47 | $30,867.50 | +$437.50 (+16.6%) |
| Fresh Grocer Markets | FGM | 300 | $56.78 | $17,034.00 | -$00.00 (+0.53%) |
| Apex Machinery Inc. | AMX | 150 | $85.09 | $12,763.50 | +$304.50 (+2.44%) |
Dividend Yield3.7%