I manage four portfolios :
- M’s Stocks and Shares NISA
- M’s SIPP
- Child No. 1’s SIPP
- Child No. 1’s Junior Stocks and Shares NISA
I will link to my portfolio lists soon (when I’ve got round to updating the spreadsheets), but here’s what I’ve got in no. 1:
Share/Fund Name |
3 D SYSTEMS |
ABERDEEN ASIA PCFC & JPN EQTY |
ABERDEEN ASSET MANAGEMENT PLC |
BAE SYS. ORD 2.5P |
BLACKROCK UK INCOME |
BRITISH SKY BROADCASTING GROUP |
CARILLION ORD 50P |
ENTERPRISE INNS PLC |
FIRST STATE GBL EMMK LDR |
FORD MOTOR COM STK $0.01 |
GAM NORTH AMERICAN GROWTH |
GLG JAPAN COREALPHA |
GREATLAND ORD 0.1P |
INCHCAPE PLC |
INVESTEC GLOBAL GOLD |
JD SPORTS FASHION PLC |
MARSTON’S ORD 7.375P |
ROYAL MAIL ORD 1P |
SAINSBURY(J) ORD 28 4/7P |
SCHRODER TOKYO |
TESCO ORD 5P |
THREADNEEDLE HIGH YIELD BOND |
UBS CORP BD UK PLUS |
UNICORN OUTSTANDING BRITISHCOS |
VANGUARD US EQUITY INDEX |
VODAFONE |