a portfolio - of about 30 ETF's and IT's , mostly growth and mid yielders , and about 30 stocks , some for speculative growth, all in ISA's.
ETF's
VUKE UK
VMID UK
IHCU health
HMEF far east
HMJP japan
VUSA USA
VFEM emerging
IT's
BGUK UK
CTY UK
DIG UK
FGT UK
HSL UK
MRC UK
MUT UK
ATST global
MYI global
SMT global
SSON global
BNKR global
EWI global
FCIT global
MONKS global
MWY global
BGCG china
BGEU europe
USA USA
PHI far east
BGFD japan
BRWM miners
WWH health
SOLID HISTORICAL STOCKS
ag barr
breedon
computacenter
craneware
fuller smith turner
greggs
H&T
halfords
hiscox
j.matthey
loungers
nichols
ramsdens
RWS
somero
volex
watkin jones
SPECULATIVE GROWTH STOCKS
calnex
ceres power
cohort
eckoh
flowtech fluidpwr
games workshop
harworth
next fifteen
nexus
OMG
quartix
sigmaroc
synairgen
probably needs some reductions by merging similar IT's
dividends are allowed to build up , then reinvested.
a cash buffer of around 10k kept in a current account , if too low , something is sold.
![Idea :idea:](./images/smilies/icon_idea.gif)