Stock Market Track Record & Analysis

A transparent record of a model stock portfolio. Every position is kept as part of the record. A change in view does not replace a previous position — it closes it and opens a new one, preserving what was published, when it was published, and what happened next.

The record is published continuously rather than assembled retrospectively. Positions are hypothetical: each one is opened and closed in full, and its result is shown as a percentage change from the entry price.

The information presented reflects the analytical framework used by Up To You and is provided for informational purposes. It is not personalised investment advice or a recommendation.The decision is up to you.

5
Open positions
7
Closed positions
100%
Win rate, closed
+44.7%
Average result, closed

Model portfolio · hypothetical positions · results exclude dividends and costs · updated 7 Oct 2026, 11:58 CEST · How this record works ↓

Open positions (5)

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OpenedTickerCompanyDirectionEntry priceCurrent priceResultDays
2026-09-2315:30DDOGDatadog, Inc.Long$252.18$278.24+10.3%14
2026-06-1515:00SPCXSpace Exploration Technologies CorpLong$160.00$171.92+7.5%114
2026-03-1115:30NFLXNetflix, Inc.Long$95.60$68.69−28.1%210
2025-05-2215:30PGThe Procter & Gamble CompanyLong$164.03$148.41−9.5%503
2024-10-1815:30AZNAstraZeneca PLCLong$157.68$158.61+0.6%719

Closed positions (7)

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OpenedClosedTickerCompanyDirectionEntry priceClose priceResultDays
2025-04-0115:302026-09-1415:30NVDANVIDIA CorporationLong$108.00$210.08+94.5%531
2026-08-0417:302026-08-1215:55PLTRPalantir Technologies Inc.Long$161.00$169.13+5.0%8
2026-07-1015:302026-08-1015:30CRMSalesforce, Inc.Long$162.80$190.15+16.8%31
2025-03-1114:302026-08-0515:30COPConocoPhillipsLong$92.90$116.00+24.9%512
2025-03-3117:302026-07-0715:30FWONKFormula One GroupLong$89.37$99.23+11.0%463
2025-04-0115:302026-07-0715:30GOOGAlphabet Inc.Long$157.60$366.30+132.4%462
2025-08-1515:302026-07-0115:30KYIVKyivstar Group Ltd.Long$12.56$16.10+28.2%320

How this record works

Published in full so the record can be checked rather than taken on trust.

A model portfolio
The positions shown here are hypothetical. They are entries in a model portfolio, not a record of real trades, and no client money is managed. Each position is opened and closed in full; there is no position sizing, so every position carries the same weight.
How the result is calculated
For a Long position the result is the change in price from the entry price. For a Short position it is the opposite: a falling price is a positive result. Open positions are measured against the latest available price, closed positions against their close price.
What the figures leave out
Dividends, commissions, taxes, borrowing costs for short positions, currency effects and slippage are not included. A real portfolio following the same positions would have produced different results.
Prices and times
Entry and close prices are recorded when a position is published and are not edited afterwards. Current prices come from Google Finance and may be delayed. Dates and times are shown in Central European Time.
Not investment advice
This is general, impersonal information. It does not take your objectives, financial situation or needs into account, and it is not a personal recommendation or an offer to buy or sell any security. Investing involves risk, including the loss of capital. Past and hypothetical performance does not indicate future results.
Interests
Up To You or its author may hold positions in the securities mentioned on this page.