ENG ver.
Hello, this is Pooh.
I would like to share with you the status of my investment portfolio as of June 30, 2023.
I regularly check my assets and follow a long-term accumulation investment and Buy & Hold strategy.
Please take a look for reference.
I regularly check my investment portfolio.
Total Financial Assets ¥ 5,459,140
The financial assets as of the previous check (May 31) were ¥ 5,091,058.
It increased by ¥ 368,082 since the previous check.
【6月】私の金融資産(投資歴5年11ヶ月目)
・投資信託 ¥ 3,307,784
・米国株 ¥ 957,331
・確定拠出年金 ¥ 1,140,522
・国内株 ¥ 53,503
評価額合計 ¥ 5,459,140
前月比 +¥ 368,082
前年同月比 +¥ 1,815,704
前月から36万円増加。コツコツ積み立てます。
#積立投資— ぷーさん (@poohfinance) June 30, 2023
【June】My financial assets (5 years and 11 months of investment experience)
- Investment trusts: ¥3,307,784
- US stocks: ¥957,331
- Defined Contribution Pension: ¥1,140,522
- Domestic stocks: ¥53,503
Total valuation: ¥5,459,140
Month-on-month change: +¥368,082
Year-on-year change: +¥1,815,704
Increased by ¥360,000 since last month. I steadily contribute and accumulate.
Investment Trusts ¥ 3,307,784
Market Value at the previous check (May 31): ¥3,120,372
Change from the previous check: +¥187,412
I manage investment trusts through Rakuten Securities and SBI Securities.
[Specified Account]
- ニッセイ 外国株式インデックスファンド
- ニッセイ 外国債券インデックスファンド
- ニッセイTOPIXインデックスファンド
- eMAXIS Slim 全世界株式(オール・カントリー)
- SBI-SBI・V・S&P500インデックス・ファンド
[Regular Investment NISA]
- eMAXIS Slim 米国株式(S&P500)
US Stocks ¥ 957,331
Market Value at the previous check (May 31): ¥ 880,770
Change from the previous check: +¥76,561
I manage US stocks through PayPay Securities.
[Investment Holdings]
- Microsoft (MSFT)
- Intel (INTC)
- Procter & Gamble (PG)
- Coca-Cola (KO)
- McDonald’s (MCD)
- Johnson & Johnson (JNJ)
- AT&T (T)
Defined Contribution Pension ¥ 1,140,522
Market Value at the previous check (May 31): ¥ 1,038,098
Change from the previous check: +¥102,424
I utilize a corporate-type defined contribution pension.
I have chosen a balanced product that includes bonds for investment.
[Investment Product]
- DCインデックスバランス(株式60)
Domestic Stocks ¥ 53,503
Market Value at the previous check (May 31): ¥ 51,818
Change from the previous check: +¥1,685
I manage domestic stocks through SBI Neo Mobile Securities and Nikko Froggy.
Investment Holdings – SBI Neo Mobile Securities
- 2453 ジャパンベストレスキューシステム
- 2533 オエノンホールディングス
- 3202 ダイトウボウ
- 3222 ユナイテッド・スーパーマーケット・ホールディングス
- 3941 レンゴー
- 4005 住友化学
- 4755 楽天グループ
- 5194 相模ゴム工業
- 6073 アサンテ
- 6897 ツインバード工業
Investment Holdings – Nikko Froggy
- 1554 上場インデックスファンド世界株式(MSCI ACWI)除く日本
- 2337 いちご
- 2914 JT
- 4272 日本化薬
- 4765 SBIGアセット
- 6454 マックス
- 7466 SPK
- 8031 三井物産
- 8306 三菱UFJ
- 8766 東京海上ホールディングス
- 9433 KDDI
- 9513 電源開発
Summary
It increased by ¥ 368,082 since the previous check (May 31).
When it comes to long-term investment, it’s true that you don’t necessarily need to closely monitor the day-to-day price movements.
However, it can be interesting to periodically check how your holdings are performing.
As the initial capital has grown, I’ve noticed a gradual increase in the speed at which my assets are growing.
Nevertheless, I will continue my systematic investment approach, ensuring that I’m not swayed by short-term stock market fluctuations.
Thank you for reading this update, and I appreciate your continued support.
JPN ver.
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