QUOTE(yklooi @ May 26 2013, 03:07 PM)
i focused too much on performance history, Risk rating, sharpe ratio,....
just realised now my content of my 40%EQ are now 85% in Msia EQ 15% global/Asia Eq.
how to reduce?....M'sia Eq looks just so good..
i got kidsave, HSDiv, HSI, HSBal....all these has good solid past histories....but are mostly invested in M'sia Eq
else, global EM, china and others....i should get more to top up my 1 sided EQ portfolio.... are not performing...
what to do?
GEM: Eastspring Investments Global Emerging Markets
Asia ex Japan small caps: Hwang Select Asia (Ex Japan) Quantum
Yes, they will be quite volatile, esp global and GEM. As for Quantum, its the so-called Ponzi fund, gerenti poh-fit punya
May 26 2013, 03:11 PM

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