STARK SUITE // PORTFOLIO // UNIT BL-01
Portfolio Value
£113,712
True Return
£27,660
1-Day Change
+£3,979
Win Rate
57%
ISA Value
£86,487
Analyst Upside
+£14,502
In the Red
-£739
Classified
PORTFOLIO
// Operations
Systems Online
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ISA £86,487 (+£18,756)
STD £6,868 (-£59)
EL ISA £20,357 (+£366)
STARK SUITE // PORTFOLIO // UNIT BL-01
Tactical Overview

Portfolio Value

£113,712
Cash invested: £86,052
+£3,979 vs yesterday (+3.63%)

True Return on Cash

£27,660
+32.14% on actual money in

Total in the Red

-£739
34 positions underwater
+£310 vs yesterday

Win / Loss  ·  Holdings

28 / 21
57% win rate across 49 positions

Currency Exposure

Pound£60,573  53.3%
Dollar£52,352  46.0%
CAN Dollar£772  0.7%
Euro£14  0.0%

Account Comparison

ISA Standard EL ISA
Value £86,487 £6,868 £20,357
Invested £67,731 £6,928 £19,991
P/L £18,756 -£59 £366
Return +27.7% -0.9% +1.8%

ETF Breakdown

Stock Sector Exposure (stocks only, ETFs & Potentials excluded)

Pie Allocation

Pie Returns

Rebalancing Actions
ETFON TRACK
Current: 40.7%Target: 44.5%Drift: -8.6%

Within target range (-8.6%). No action needed.

Healthcare ETFON TRACK
Current: 5.9%Target: 6.0%Drift: -1.4%

Within target range (-1.4%). No action needed.

Diversification ETFON TRACK
Current: 15.2%Target: 15.0%Drift: +1.3%

Within target range (+1.3%). No action needed.

Diversification StocksON TRACK
Current: 11.2%Target: 11.0%Drift: +1.4%

Within target range (+1.4%). No action needed.

InvestmentsON TRACK
Current: 10.2%Target: 10.0%Drift: +1.7%

Within target range (+1.7%). No action needed.

Healthcare StocksON TRACK
Current: 3.2%Target: 3.0%Drift: +5.9%

Within target range (+5.9%). No action needed.

PotentialsMONITOR
Current: 0.6%Target: 0.5%Drift: +12.6%

Slightly overweight (+12.6%). Watch but no action needed yet.

Single InvestmentTRIM
Current: 13.2%Target: 10.0%Drift: +31.5%

Overweight by +31.5%. Consider trimming or pausing new contributions to this pie.

Pie Distribution vs Targets
PieValueTarget %Current %ReturnP/LRelative Drift
ETF£46,26244.5%40.7%+16.9%£6,698
-8.6%
Diversification ETF£17,28515.0%15.2%+5.7%£928
+1.3%
Single Investment£14,95010.0%13.2%+84.5%£6,847
+31.5%
Diversification Stocks£12,67711.0%11.2%+20.4%£2,146
+1.4%
Investments£11,56010.0%10.2%+13.3%£1,353
+1.7%
Healthcare ETF£6,7256.0%5.9%+8.0%£497
-1.4%
Healthcare Stocks£3,6123.0%3.2%+22.5%£663
+5.9%
Potentials£6400.5%0.6%-9.9%-£71
+12.6%
Dividend Income

Trailing 12-Month Income

£220.87
≈ £18.41/month average

2026 Income To Date

£80.27
113 payments received all time

Portfolio Yield

0.19%
Based on trailing 12m ÷ portfolio value

Annualised Run Rate

£220.87
Trailing 12m annualised

Annual Dividend Growth

TickerNameTotal ReceivedShare of Income
ORealty Income£46.22
21%
METMetLife£34.26
16%
VHYLVanguard FTSE All-World High Dividend Yield (Dist)£27.12
12%
XOMExxon Mobil£15.24
7%
DISWalt Disney£14.92
7%
CATCaterpillar£14.90
7%
PGProcter & Gamble£13.39
6%
NEENextEra Energy£12.66
6%
MSFTMicrosoft£10.85
5%
NVDANvidia£10.42
5%
Portfolio Commentary
🛡️ Risk LevelModerate

ETF core is 62% of the portfolio — well-diversified foundation with selective stock exposure.

⚡ NVDA13.1% of portfolio

NVDA slightly above 10% target at £14,950. Monitoring recommended.

📈 OverweightSingle Investment

Single Investment is +31.5% above target. Consider pausing new contributions here.

📈 Top Analyst UpsideMSFT +61.2%

Analysts see 61.2% upside in Microsoft to a target of £443.12.

🎯 Screened Stocks Upside+£14,502

Across 19 screened stocks, analysts see £14,502 additional upside (45.6% from current prices) if targets are met.

🏆 Win Rate57%

28 holdings in profit, 21 in the red across 49 positions.

Key Dates
DateEventDetailCountdown
5 Apr 2026ISA Year EndSell Standard LSE ETFs → buy £20k in ISA. NVDA trim to £15k.3d away
1 Jun 2026Q1 CommissionPlanned £10,000 lump sum into ISA from Q1 commission. Deploy per rebalancing plan.60d away
1 Sep 2026Q2 CommissionFirst £1,500 quarterly top-up into ISA (3 months after June commission).152d away
1 Dec 2026Q3 CommissionPlanned £1,500 quarterly top-up into ISA.243d away
5 Apr 2027ISA Year End 2027Next annual ISA allowance reset. Bed-and-ISA remaining Standard positions.368d away
Contribution History

Total Deposited

£86,052
Since 18 Nov 2023

Years Investing

2.4
Portfolio growth: £27,660 (+32.1%)

Avg Annual Contribution

£35,855
Across all years

Growth on Contributions

£27,660
Market returns on top of deposits

Annual Contributions by Account

Portfolio Growth Projection
Scenario 5 Years 10 Years 15 Years
Conservative (8% p.a.)£234,877£405,283£659,161
Moderate (10% p.a.)£256,572£480,540£849,036
Optimistic (12% p.a.)£280,381£571,027£1,099,041
Assumes £250/month regular + one-off £10k (June 2026), then £1,500/quarter from Sep 2026 onwards. Starting from £113,712 current value. Not financial advice.

Projection Chart

Portfolio Value Over Time

Since Inception (2023-12-08)

+£110,267
+3200.6% total growth

1-Day Change

+£3,979
+3.63%

All-Time Peak

£116,675
2026-03-02

Starting Value

£3,445
2023-12-08

Total Portfolio Value

Pie Breakdown Over Time

Analyst Upside Tracker
TickerCompanyCurrent PriceAnalyst Target Upside %Current P/LUpside to Target AnalystsRating
MSFTMicrosoft£274.91£443.12+61.2%-£268£86753STRONG_BUY
METAMeta Platforms£411.30£647.96+57.5%£203£97260STRONG_BUY
NVDANvidia£128.63£201.48+56.6%£6,847£8,46856STRONG_BUY
DISThe Walt Disney Company£71.17£97.12+36.5%-£25£41528BUY
AMZNAmazon£155.90£210.93+35.3%£201£61463STRONG_BUY
LLYEli Lilly£673.81£908.43+34.8%£191£61629BUY
GOOGLAlphabet£211.02£283.01+34.1%£1,123£85056STRONG_BUY
ATRLAtkinsRealis Group£88.95£117.60+32.2%-£22£24915BUY
PGProcter & Gamble£106.98£126.20+18.0%-£45£25722BUY
JPMJP Morgan£219.09£256.28+17.0%-£63£23424BUY
AAPLApple£189.97£221.83+16.8%-£25£26641BUY
TSLATesla£279.52£316.45+13.2%£143£19841BUY
ORealty Income£45.27£50.97+12.6%£64£9520HOLD
BRK.BBerkshire Hathaway£357.01£392.87+10.0%-£23£1003BUY
MRKMerck & Co£89.34£96.18+7.7%£472£14127BUY
LMTLockheed Martin£471.24£498.98+5.9%£113£5619HOLD
CATCaterpillar£528.22£553.03+4.7%£1,428£15726BUY
NEENextEra Energy£68.48£70.87+3.5%£213£5122BUY
XOMExxon Mobil£124.27£116.28-6.4%£481-£10324BUY
Total (19 stocks) Source: Yahoo Finance (fetched 2026-03-27) +£14,502
Top 20 Holdings
TickerNameSectorValueWeightP/LReturn
VWRPAllworld ETFETF£30,04426.4%£5,034+20.1%
NVDANvidiaSemiconductors£14,95013.2%£6,847+84.5%
VUAGS&P 500 ETFETF£10,4979.2%£1,505+16.7%
VEUADeveloped Europe ETFETF£5,7225.0%£159+2.9%
IUHCS&P 500 Healthcare ETFETF£4,2743.8%£315+8.0%
CATCaterpillarMachinery & Components£3,3332.9%£1,428+75.0%
VFEGEmerging Markets ETFETF£3,2732.9%£199+6.5%
VHYLAllworld Dividend ETFETF£3,1872.8%£168+5.5%
IUSUS&P 500 Utilities ETFETF£2,5372.2%£87+3.5%
IGLNGold ETFETF£2,5322.2%£266+11.7%
GOOGLAlphabetSoftware & IT Services£2,4932.2%£1,123+82.0%
VAGUGlobal Aggregate Bond ETFETF£2,3922.1%£31+1.3%
MRKMerck & CoPharmaceuticals£1,8431.6%£472+34.4%
WHCAWorld Healthcare ETFETF£1,7941.6%£143+8.6%
LLYEli LillyPharmaceuticals£1,7701.6%£191+12.1%
AMZNAmazonDiversified Retail£1,7381.5%£201+13.1%
INFRGlobal Infrastructure ETFETF£1,7221.5%£154+9.8%
METAMeta PlatformsSoftware & IT Services£1,6901.5%£203+13.7%
WLDSSmall Cap ETFETF£1,6421.4%£23+1.4%
XOMExxon MobilOil & Gas£1,5951.4%£481+43.2%
Bottom 10 Holdings (excluding Potentials pie)
TickerNameSectorPieValueP/LReturn
MSFTMicrosoftSoftware & IT ServicesInvestments£1,416-£268-15.9%
JPMJP MorganBanking ServicesDiversification Stocks£1,380-£63-4.4%
PGProcter & GambleConsumer DefensiveDiversification Stocks£1,429-£45-3.0%
ATRLAtkinsRealis GroupConstruction & EngineeringDiversification Stocks£772-£22-2.7%
BRK.BBerkshire HathawayBanking ServicesDiversification Stocks£993-£23-2.2%
DISThe Walt Disney CompanyMedia & PublishingInvestments£1,138-£25-2.2%
AAPLAppleComputers & PhonesInvestments£1,584-£25-1.6%
VAGUGlobal Aggregate Bond ETFETFDiversification ETF£2,392£31+1.3%
WLDSSmall Cap ETFETFDiversification ETF£1,642£23+1.4%
VEUADeveloped Europe ETFETFETF£5,722£159+2.9%
Stark Intel
Portfolio £113,712
True Return £27,660 (+32.1%)
1-Day +£3,979 (+3.63%)
ISA £86,487
Win Rate 57% (28W / 21L)
Analyst Upside +£14,502 (45.6%)
In Red -£739 (34 positions)
Holdings 49 positions
Dividend Yield 0.19%
Unit BL-01 Operational
Portfolio £113,712
True Return £27,660 (+32.1%)
1-Day +£3,979 (+3.63%)
ISA £86,487
Win Rate 57% (28W / 21L)
Analyst Upside +£14,502 (45.6%)
In Red -£739 (34 positions)
Holdings 49 positions
Dividend Yield 0.19%
Unit BL-01 Operational
Total Portfolio
Total Invested
cash deposited
True Return
Win / Loss
In the Red
Currency
Rebalancing
Projections
Growth Scenarios
Key Dates
Top Holdings
Underperformers
Pie Detail
Returns by Pie
Total Analyst Upside
Stock Upside
Trailing 12-Month Income
Dividend Stats
Annual Growth
Dividend by Year
ISA Allowance
Portfolio Value Over Time
Contributions
Annual Contributions