Performance for period ending November 30, 2007: -0.1% (including dividends).

All previous gains have been wiped again, however -0.1% is pretty much even and a heck of a lot better than my Juniors portfolio performance. Performance ending Dec 4 (today) stands at -1.2% however the purpose of this portfolio is not to look at daily performance. I’ll stick with the “lazy” approach with only monthly updates.

Click to enlarge the chart

Components

CDN Composite (XIC) – 45%
CDN S&P 500 (XSP) – 25%
CDN MSCI EAFE (XIN) – 30%

Initial Investment

Approximately $10,000 one-time.

I’m skipping August since it’s not that interesting on its own, and here’s the Lazy Porfolio performance May to September 30, 2007.

Last update was up to end of July. Since then all the losses have been completely erased, and overall stands at +2.4%.

My penny stock investments are very disappointing, they didn’t recover along with the rest of the market. I stopped tracking them daily; vacation sure helped with the obsession.

Components

CDN Composite (XIC) – 45%
CDN S&P 500 (XSP) – 25%
CDN MSCI EAFE (XIN) – 30%

Initial Investment

Approximately $10,000 one-time.

Here’s my Lazy Canadian iShares portfolio performance to August 3rd (inclusive).

All the gains since May has been wiped out and it now stands at -2.54%. This is the second losing month in a row. Please keep in mind this table doesn’t account for the dividends, so actual performance is better. I only track share price.

CHART UPDATED to reflect dividend re-investment. Performance now stands at -1.8%, truly, dividend is a powerful thing.

UPDATED!

Hattip to Four Pillars Mike for showing me GlobeFund for easier dividend tracking.

Click to enlarge

Components

CDN Composite (XIC) – 45%
CDN S&P 500 (XSP) – 25%
CDN MSCI EAFE (XIN) – 30%

Initial Investment

Approximately $10,000 one-time.

“Lazy” portfolio, started tracking results on May 1, 2007.

June Results

Portfolio shrunk by 0.55% in relation to the previous month, but was still up 3.26% overall.

Components

CDN Composite (XIC) – 45%
CDN S&P 500 (XSP) – 25%
CDN MSCI EAFE (XIN) – 30%

Initial Investment

Approximately $10,000 one-time.