At the moment I keep my stuff in four separate portfolios, just to differentiate them mentally.
- Main – this is my usual shareholdings across the ASX and US markets.
- HFEA – this is my experiment in running Hedgefundie’s Excellent Adventure.
- Crypto – I keep this separate from everything else because it’s so batshit.
- Crowdfunding – shareholdings in private companies mostly. I keep this on its own as it’s pretty illiquid and I can’t do much with them until they IPO or something else happens.
I can show the performance of Main and HFEA live on the site, but not crypto at the moment (will come eventually).