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 Fundsupermart.com v3, Manage your own unit trust portfolio

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SUSPink Spider
post Jul 31 2013, 09:21 AM

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QUOTE(Kaka23 @ Jul 31 2013, 09:20 AM)
Don't dare masuk china la...
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China pub u dare? brows.gif
SUSPink Spider
post Jul 31 2013, 09:40 AM

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QUOTE(Kaka23 @ Jul 31 2013, 09:39 AM)
haha.. you mean china pub in China?

or those cheras punya got gantung flower punya?
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Puchong pun ada brows.gif

Back to topic pls tongue.gif
SUSPink Spider
post Jul 31 2013, 09:56 AM

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QUOTE(gark @ Jul 31 2013, 09:52 AM)
I am steadily collecting china funds at every big dip.  rclxms.gif
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How much % of your portfolio is currently exposed to China/HK? hmm.gif
SUSPink Spider
post Jul 31 2013, 10:17 AM

Formerly known as Prince_Hamsap
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QUOTE(gark @ Jul 31 2013, 10:15 AM)
In UT portfolio about 10% direct, another 20% via EM and Asia ex. Pacific Funds... brows.gif
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Mine...China+HK about 14% tongue.gif
SUSPink Spider
post Jul 31 2013, 10:24 AM

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QUOTE(gark @ Jul 31 2013, 10:22 AM)
Raising my direct to about 20%.. waiting for downturns.  tongue.gif
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my biggest country is still US...14%
SUSPink Spider
post Jul 31 2013, 10:27 AM

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QUOTE(gark @ Jul 31 2013, 10:26 AM)
US fund via S&P500 ETF is my biggest gainer... IRR nearly @20% p.a.  rclxms.gif
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OSK-UOB GEY...11%+ IRR blush.gif

U invested since when? hmm.gif

QUOTE(Kaka23 @ Jul 31 2013, 10:24 AM)
you all banyak duit la.. me soon not much $$ top up.. tongue.gif
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I'm going to buy more stocks, want more dividends as passive cash flow. UTs only top up to rebalance wink.gif

This post has been edited by Pink Spider: Jul 31 2013, 10:29 AM
SUSPink Spider
post Jul 31 2013, 10:31 AM

Formerly known as Prince_Hamsap
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QUOTE(gark @ Jul 31 2013, 10:30 AM)
Today stock drop -20 points wor.. can stand roller coaster ah?  laugh.gif

Cat is bounding down.. later maybe up again... rolleyes.gif
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Aiming to accumulate more APM and IGBREIT...only on price weakness
SUSPink Spider
post Jul 31 2013, 10:39 AM

Formerly known as Prince_Hamsap
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QUOTE(gark @ Jul 31 2013, 10:33 AM)
Eeee REIT will have more weakness if bond yield continue to rise.  tongue.gif I am waiting for 6% gross yield on high quality REITs.  icon_rolleyes.gif
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Will only queue IGBREIT at 1.20 tongue.gif

With the divvy announcement, I expect it won't happen in short term laugh.gif

Waiting to accumulate APM at <5.20 wink.gif
SUSPink Spider
post Jul 31 2013, 12:01 PM

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QUOTE(tehoice @ Jul 31 2013, 11:47 AM)
yeah, thx, will google later when free.
thanks bro! is this fund still good to buy? I thought of putting a little into it. but too bad I cant use EPF monies for this.

by the way, got your city already?
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Highly volatile fund, don't gamble too much on it, Maybe 10-15% of your portfolio
SUSPink Spider
post Jul 31 2013, 03:34 PM

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I think your auntie refers to buying REITs directly, not REIT funds like AmAsia Pacific REITs.
SUSPink Spider
post Jul 31 2013, 04:10 PM

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QUOTE(@secret@ @ Jul 31 2013, 03:46 PM)
okay... i dig back....  flex.gif
then that's way too over rated.
stock? no no....
im expanding my UT portfolio with one or two more funds, now all in Msia
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Then start by checking out FSM Recommended Funds
SUSPink Spider
post Aug 1 2013, 09:21 AM

Formerly known as Prince_Hamsap
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QUOTE(Kaka23 @ Jul 31 2013, 09:03 PM)
2 more days till the 1% sc will end... Top up top up
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Other than HwangIM funds, nothing in mind hmm.gif

But topping up the 2 HwangIM funds will increase my ASEAN exposure sweat.gif

Feel wanna dump some units of OSK-UOB Income Fund hmm.gif
MYR bond yields rising, but the fund is supported by its HK and SG bond holdings, RM depreciating, value of foreign holdings go up hmm.gif

Unker gark, how cry.gif
SUSPink Spider
post Aug 1 2013, 09:46 AM

Formerly known as Prince_Hamsap
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QUOTE(gark @ Aug 1 2013, 09:42 AM)
Keep calm and follow portfolio allocation.  tongue.gif
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Currently 52/48

Treasury yield threaten to go higher last nite...before recovering.

Feel wanna go 55/45 sweat.gif

My MYR bond fund IRR less than 3% at the moment, only 2.9% doh.gif

This post has been edited by Pink Spider: Aug 1 2013, 09:46 AM
SUSPink Spider
post Aug 1 2013, 09:54 AM

Formerly known as Prince_Hamsap
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QUOTE(gark @ Aug 1 2013, 09:51 AM)
For your age and profile..actually you should do a 70 Equity : 30 Bond... higher volatility, but better gains in long term.  wink.gif

Whatever goes up must come down.. soon... nod.gif
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Today might top up EM equity fund, increase UT portfolio to 55/45

Stock portfolio...maybe will go to 66/33 (my "33" is OSK-UOB Income Fund, I use this UT bond fund to hedge against my stock portfolio)
But nothing to buy now...APM semalam rally pulak, IGBREIT, waiting for 1.22 yawn.gif
SUSPink Spider
post Aug 1 2013, 10:33 AM

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IGBREIT is the REIT holding Mid Valley and The Gardens
APM is name of a stock...APM manufactures and markets automotive parts like suspension, air con, etc
SUSPink Spider
post Aug 1 2013, 01:56 PM

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QUOTE(mois @ Aug 1 2013, 11:51 AM)
It is wise to switch bond to money market for now? I see the emerging bond market are starting to affect our local bonds.
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I won't touch EM bonds lor, cos Ringgit depreciation will offset the rise of EM bond yields. I see potential still in EM bonds.

Switching half of my OSK-UOB Income Fund to CMF, park there until I see opportunity in local stocks, then bruce.gif

This post has been edited by Pink Spider: Aug 1 2013, 02:09 PM
SUSPink Spider
post Aug 1 2013, 04:18 PM

Formerly known as Prince_Hamsap
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QUOTE(TakoC @ Aug 1 2013, 04:12 PM)
Just updated my worksheet. Thought my US exposure will increase, but drop to 4%. Other than that, no other global exposure already sad.gif
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u still keeping Pacific GSF? Recently it recovered strongly flex.gif
SUSPink Spider
post Aug 1 2013, 04:56 PM

Formerly known as Prince_Hamsap
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QUOTE(TakoC @ Aug 1 2013, 04:53 PM)
Yup. PGSF is the only reason why I have US exposure. Topped up both funds on Asia, that's why US exposure drop.
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Why not include Alliance GEF or CIMB-Principal Global Titans?
SUSPink Spider
post Aug 1 2013, 09:03 PM

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QUOTE(David83 @ Aug 1 2013, 08:38 PM)
Here's my portfolio as of July 2013:

Fund Name | Portfolio % | ROI (%) | XIRR (%)

CIMB-Principal Australian Equity Fund | 9 | 25.5 | 13.6
Public Far East Select Fund | 9 | 23.4 | 3.1
Public Asia Ittikal Fund | 15 | 10.4 | 1.7
AmDynamic Bond | 11 | 7.0 | 5.1
AmAP REITs  | 11 | 5.7 | 5.8
Aberdeen Islamic World Equity Fund - Class A | 11 | 6.5 | 12.3
OSK-UOB EMB | 11 | 0.1 | 0.1
Hwang Select Asia (ex Japan) Quantum Fund | 11 | -0.5 | -18.7
CIMB-Principal Asia Pacific Dynamic Income Fund | 12 | 0.1 | 0.4
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Negative IRR on Ponzi Fund? blink.gif
And your IRR on AmAP REITs still so high? shocking.gif
Aberdeen World thumbup.gif
SUSPink Spider
post Aug 1 2013, 09:12 PM

Formerly known as Prince_Hamsap
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QUOTE(Kaka23 @ Aug 1 2013, 09:08 PM)
I am going in some tomorrow.. tongue.gif
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Last day of 1% SC icon_idea.gif
Apa u nak beli, bro? brows.gif

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