It's that time of the month again! A few days late but here's my monthly update for May. In general markets rose with gains between 1 and 2%. The USD.EUR-rate also increased 1% which helps my portfolio since around 80% is USD-listed. In the table below I have presented some benchmark indicators of general market indices and my own dividend growth portfolio.
However, since I am in it for the long haul I am not too interested in these daily or monthly fluctuations. What matters is that I keep focused on buying high quality companies which provide me with a steady stream of growing dividends.
May 2015 | |||
---|---|---|---|
Indicator | As of 30-4 | As of 30-5 | % change |
S&P 500 Total Return | 3.842 | 3.891 | +1.3% |
Dow Jones Industrials Total Return | 35.927 | 36.473 | +1.5% |
AEX GR | 1.437 | 1.461 | +1.6% |
USD.EUR | 0.8929 | 0.9020 | +1.0% |
Portfolio value | € 24.833 | € 24.890 | +0.2% |
However, since I am in it for the long haul I am not too interested in these daily or monthly fluctuations. What matters is that I keep focused on buying high quality companies which provide me with a steady stream of growing dividends.