Potencial tickers

array(8) { ["EUR"]=> int(1) ["USD"]=> string(6) "1.1805" ["CAD"]=> string(6) "1.6139" ["GBP"]=> string(6) "0.8763" ["NOK"]=> string(7) "11.2085" ["CHF"]=> string(6) "0.9104" ["AUD"]=> string(6) "1.6612" ["HKD"]=> string(6) "9.2359" }
# ISIN Product Amount Amount - EUR Quantity
1 LU1681042104 AMUNDI CORE DAX UCITS ETF 18564.00 - EUR 18,564.00
100
DI
2 AU000000BHP4 BHP GROUP FPO [BHP] 4722.00 - AUD 2,842.52
100
DI
3 CA1010551078 BOSTON PIZZA ROYALTIES INCOME F 3563.80 - CAD 2,208.19
173
DI
4 GB00BZ02LR44 GREENCOAT UK WIND PLC ORD 1P 1890.00 - GBP 2,156.80
20
DI
5 1044.HK00000 HENGAN INT'L 2952.00 - HKD 319.62
100
DI
6 US4642864333 ISHARES INDIA 50 ETF 4831.00 - USD 4,092.33
100
DI
7 IE00BDBRDM35 ISHS IV-INDIA INR GOVT BD ETF R 400.00 - EUR 400.00
100
DI
8 LU1151320466 JPMORGAN GLOBAL EQUITY PREMIUM 2294.00 - EUR 2,294.00
100
DI
9 IE00B3VW3J70 JPMORGAN NASDAQ EQUITY PREMIUM 5751.00 - USD 4,871.66
100
DI
10 CA72551W1041 PIZZA PIZZA ROYALTY CORP 9468.00 - CAD 5,866.53
600
DI
11 CA96600A1084 WHITECAP RESOURCES INC 3587.88 - CAD 2,223.11
348
DI

Portfolio tickers

# ISIN Product Quantity
1 CA0641491075 BANK NOVA SCOTIA HALIF 158 DI TR PT
2 DE000BASF111 BASF SE 235 DI TR PT
3 DE000BAY0017 BAYER AG 600 DI TR PT
4 NO0010096985 EQUINOR 520 DI TR PT
5 DE0007100000 MERCEDES-BENZ GROUP AG 84 DI TR PT
6 IL0010851827 MIND C.T.I. LTD. - ORD 3455 DI TR PT
7 CA6674951059 NORTHWEST HEALTHCARE PROPERTIES REIT 1500 DI TR PT
8 US7170811035 PFIZER INC 1072 DI TR PT
9 LU0061462528 RTL GROUP SA 222 DI TR PT
10 US78573L1061 SABRA HEALTH CARE REIT INC 500 DI TR PT
11 US92343V1044 VERIZON COMMUNICATIONS INC 360 DI TR PT

Sold tickers

# ISIN Product Quantity
1 US1101221083 BRISTOL-MYERS SQUIBB CO 0 DI TR PT
2 DE000DTR0CK8 DAIMLER TRUCK HOLDING AG 0 DI TR PT
3 US46284V1017 IRON MOUNTAIN INCORPOR 0 DI TR PT
4 US7443752057 PSYCHEMEDICS CORPORATI 0 DI TR PT
5 DE000TLX1005 TALANX AG 0 DI TR PT

Ticker dividends