Portfolio Update #9 (9/1/2023)
Current holdings and allocations, and reasons behind recent buy / sell / hold decisions.
Update #9 (9/1/2023)
Given recent price movement and observations with CDLX and CVNA, I wanted to provide a Portfolio Update.
Discussion items include:
Current Allocations and Recent Actions
Returns
Since Last Update
Since the 1st Update
YTD (net worth has increased 9.96x YTD, to new all-time highs, given CDLX and CVNA returns + added + leverage)
Updates on CDLX and CVNA
Near-Term Cash Flows for CDLX
Increasing Odds of Long-Term Potential Materializing
Summary of Recent Allocations, Prices, and Actions
This is the 9th portfolio update (see past updates here).
About Portfolio Updates in General
I was previously adding my buy / sell / hold decisions to my private notes on OneNote, but I thought it may be helpful to add these as a part of the Research Notes, given most of these decisions are a function of my research and the information I put out.
I believe this will also force me to think through my decisions a little harder and more concretely. Additionally, I can look back on these decisions to learn and improve.
Below I share my recent actions, the reasons, and a summary of my holdings and allocation of my investments over the last few months and up to today.
Current Holdings & Allocations, and Recent Buy / Sell / Hold Decisions
Note: Some of the allocation %’s and the market prices per share are as of when I took a screenshot and recorded the allocations, and are not based on the opening or closing prices of that date.