Today I sold PYE, RAT and UAXL besides there is a holiday in the U.S.
PYE and RAT didn't trade since they were in the portfolio.
I bought IOSF, UCFK and XKA.
On Monday I sold AMJY, IOSF, LWWD, NRZS and WIY.
All left profit in the portfolio.
I bought MLTY, MQOH, QABK, WJKN and XUV.
The profit of the sold ones made it able to adjust the share size of all Darwins to $ 2.162.
Today the portfolio showed a new ATH with an overall profit of more than 25% (before open fee payments) in less than 11 months since it was started.