QUOTE(brotan @ May 28 2015, 10:48 AM)
thanks for the tips
i actually see yearly return for past 5 years (not average past 5 years). didn't really see where they invest. so that's why overlap.
i also add a few bond fund to mix the risk a bit
what's your suggestion for strategy? choose only the best fund for its category?
I'm green horn.

But i just gather and follow some guidelines by the sifus here.
1. Dun park all eggs in one basket. Basket here refers to region/country/equity/bond
2. Core equity funds should be funds that invest in a wide demographic. Example: Asia-ex-Jap, Europe, US, Bolehland, ASEAN..
3. Satellite funds would be those that invest in targeted demographics. Example: Single Country funds,*cough*china*cough*bolehland*
and last but not least
Do not treat UT as shares. =P.
QUOTE(puchongite @ May 28 2015, 01:42 PM)
Can we see xuzen's balls again ?

....i wonder what colour are they....