System
BL // JARVIS
Module
Portfolio
Sync
27 MAY 2026
Day P&L
+£3,143
Day P&L
+£3,143
Investments · ISA · Standard · EL ISA
Portfolio
LIVE · 27 MAY 2026
Return on Cash
+£39,650
+38.27%
In Red
-£311
+£305 vs 7 days ago
Win / Loss
37 / 13
74% win rate
◆ Accounts
ISA
£103,569
+£25,257 · +32.2%
Standard
£2,173
+£23 · +1.1%
EL ISA
£37,510
+£2,584 · +7.4%
ISA Allowance Used
£22,126
of £40,000 this tax year
JARVIS · Daily Brief
Portfolio at £143,252, Sir — +38.3% on cash invested. Win rate holding at 74% across 50 positions. Healthcare ETF pie remains overweight at 5.9% against your 4.5% target — recommend review. All systems nominal.
◆ Performance · Portfolio Value Over Time
Portfolio Value vs Capital Contributed
08-12-2023 → Today
◆ Allocation & Capital Growth
Pie Distribution
Current weight
Cumulative Growth vs Capital
Portfolio value vs total capital deployed since inception
Year Cumulative Capital Portfolio Value Gain Return
2023£19,900£18,908-£992-5.0%
2024£39,902£53,071+£13,169+33.0%
2025£77,702£104,966+£27,264+35.1%
2026£103,602£143,252+£39,650+38.3%
◆ Pie Returns
Pie Value Target Weight Return Profit Drift
Core ETFs£62,90244.0%43.9%+25.9%+£12,927-0.2%
Diversification ETF£20,49314.0%14.3%+6.0%+£1,157+2.2%
Semiconductors£17,72812.0%12.4%+82.0%+£7,987+3.1%
Diversification Stocks£16,27113.0%11.4%+10.8%+£1,590-12.6%
Convictions£11,7378.0%8.2%+30.7%+£2,758+2.4%
Healthcare ETF£8,4534.5%5.9%+5.8%+£465+31.1%
Healthcare Stocks£4,8094.5%3.4%+20.9%+£832-25.4%
Potentials£8580.5%0.6%+20.7%+£147+19.8%
◆ Income & Dividends
Trailing 12 Months
£260
Year to Date
£122
Portfolio Yield
0.18%
Annual Run Rate
£260
Top 5 Dividend Payers
All time · by total received
Ticker Company Total
ORealty Income£52
METMetLife£34
VHYLVanguard FTSE All-World High Dividend Yield£27
PGProcter & Gamble£25
CATCaterpillar£21
Annual Dividend Income
By calendar year
◆ Growth Projection
Projected Value
£250/month + £10k annual · Conservative / Moderate / Optimistic
◆ Top 10 Holdings · By Value
Ticker Company Value Weight Profit Return
VWRPAllworld ETF£41,59329.0%+£9,320+28.9%
NVDANvidia£14,52610.1%+£7,918+119.8%
VUAGS&P 500 ETF£13,7899.6%+£3,064+28.6%
VEUADeveloped Europe ETF£7,5215.2%+£543+7.8%
IUHCS&P 500 Healthcare ETF£5,3563.7%+£300+5.9%
VFEGEmerging Markets ETF£4,8553.4%+£550+12.8%
VHYLAllworld Dividend ETF£4,1252.9%+£333+8.8%
IGLNGold ETF£3,7522.6%-£23-0.6%
VAGUGlobal Aggregate Bond ETF£3,0872.1%-£0-0.0%
MSFTMicrosoft£2,9432.0%+£70+2.4%
◆ Bottom 10 Holdings · By Profit
Ticker Company Value Profit Return
PGProcter & Gamble£2,182-£76-3.4%
LMTLockheed Martin£2,309-£63-2.6%
BRK.BBerkshire Hathaway£1,898-£27-1.4%
IGLNGold ETF£3,752-£23-0.6%
JPMJP Morgan£1,767-£13-0.7%
JNJJohnson & Johnson£442-£8-1.9%
VAGUGlobal Aggregate Bond ETF£3,087-£0-0.0%
DISThe Walt Disney Company£39+£2+4.2%
AMATApplied Materials£522+£23+4.6%
TSMTaiwan Semiconductors£2,173+£23+1.1%
◆ Analyst Upside · Top 10
Potential Upside
Total: £8,222 · Source: Yahoo Finance (fetched 28-04-2026)
Ticker Company Value Upside % Upside £ Analysts
NVDANvidia£14,526+24.0%+£3,48856
MSFTMicrosoft£2,942+34.8%+£1,02454
LLYEli Lilly£2,270+38.5%+£87429
METAMeta Platforms£2,480+26.0%+£64560
LMTLockheed Martin£2,309+24.9%+£57620
MRKMerck & Co£2,097+17.7%+£37127
PGProcter & Gamble£2,182+10.6%+£23122
XOMExxon Mobil£1,834+12.1%+£22222
BRK.BBerkshire Hathaway£1,898+10.8%+£2063
AMZNAmazon£2,271+8.7%+£19764
◆ Annual Contributions · By Account
Contributions Timeline
ISA · Standard · EL ISA
Currency Exposure
By value
Currency Value Weight
Pound78,81455.0%
Dollar64,42345.0%
Euro150.0%