DJIA open in red.
Fundsupermart.com v13, Merry X'mas and Happy 牛(bull!) Year
Fundsupermart.com v13, Merry X'mas and Happy 牛(bull!) Year
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Jan 20 2016, 10:38 PM
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#61
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DJIA open in red.
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Jan 20 2016, 11:08 PM
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#62
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Jan 20 2016, 11:45 PM
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#63
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Jan 23 2016, 08:31 AM
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#64
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Jan 23 2016, 09:32 AM
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#65
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Jan 23 2016, 10:16 AM
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#66
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Jan 23 2016, 10:17 AM
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#67
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Jan 23 2016, 10:41 AM
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#68
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QUOTE(xuzen @ Jan 23 2016, 10:37 AM) My portfolio is 15 mths old and it is the first time it has gone below (-1 SD). Masta Xuzen Ponzi 12.0 is which fund ?As of 21/1/2016 NAV, my equity portion is -8.1% and my portfolio SD is (+/-) 8%. Ponzi 2.0 which I hold around 1/3 portion is now down to 9.2% and its SD as listed in its FFS is 8.25%. This means that Ponzi 2.0 has moves substantially away from its historical mean. I am topping up Ponzi 12.0 and KGF in the coming week in small amount, not sai-lang. Xuzen Btw your ponzi 2.0 still in positive ka ? This post has been edited by aoisky: Jan 23 2016, 10:42 AM |
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Jan 23 2016, 10:45 AM
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#69
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Jan 23 2016, 11:23 AM
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#70
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QUOTE(melz84 @ Jan 23 2016, 11:17 AM) not selling anything... I'm no sifoo here.since i just started investing.. my inv still a very small amount my whole portfolio is in red and negative ROI sifus.. do you think it's wise for me to hold them with a max stop loss at 20% of inv ? sorry.. i'm still a newb in all this.. If you cut loss now you may suffer losses. Think it this way buy low sell high. Always VCA |
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Jan 23 2016, 09:38 PM
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#71
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QUOTE(kkk8787 @ Jan 23 2016, 01:50 PM) I've stayed invested in fsm for close to 5 years. But it seems to be giving a lower return than FD so far. Maybe I always buy in at wrong time. My last major buying was during the 0.5% sc discount. Doubled my portfolio, within days everything dropped err.. lower than FD, are you investing in potential fund ? or are you always selling your unit in losses ? UT yield lower than FD quite rare to me. Mine UT outperform my ASB investment. Try to VCA think long term, investing rather than trading. This post has been edited by aoisky: Jan 23 2016, 09:38 PM |
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Jan 23 2016, 09:41 PM
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#72
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Jan 23 2016, 09:45 PM
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#73
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1,203 posts Joined: Dec 2008 |
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Jan 23 2016, 09:54 PM
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#74
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- doubled post -
This post has been edited by aoisky: Jan 23 2016, 09:55 PM |
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Jan 23 2016, 09:55 PM
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#75
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QUOTE(kkk8787 @ Jan 23 2016, 09:42 PM) One of the reasons is my top ups became bigger and bigger. So a lot of the initial earning got diluted by the subsequent tops upd which became bigger and bigger. I dunno how to say. The other reason is i am stuck with a few asia pacific funds. Tried to average down by topping up when he goes lower and lower. But it just kept getting lower. Am asia pacific and rhb asia pacific. These 2 rugi besar besar QUOTE(j.passing.by @ Jan 23 2016, 09:51 PM) As the saying goes... don't count the chicken before they are hatch. As long as the investment were not pulled, the numbers is still alive and kicking... you maybe counting the chicken too soon. On the other hand, since I not familiar with the funds you're holding... they may just be 'bad' funds. Check Morningstar Malaysia, and see how they performed in comparison to other funds. http://my.morningstar.com/ap/main/default.aspx |
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Jan 23 2016, 09:58 PM
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#76
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Jan 24 2016, 02:25 PM
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#77
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Jan 24 2016, 02:28 PM
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#78
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Jan 24 2016, 11:41 PM
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#79
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QUOTE(lukenn @ Jan 24 2016, 11:35 PM) QUOTE(dasecret @ Jan 24 2016, 11:38 PM) Oi! Touchwood. My losses tak sampai 5 digit la. Not even 4 digit actually 😅 Isn't @Vanguard is the one that mention 30K loss no feeling ?But I'm expecting a call from my mum after she look at this month's statement 🙈 This post has been edited by aoisky: Jan 24 2016, 11:43 PM |
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Feb 5 2016, 09:28 AM
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#80
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