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 Fundsupermart.com v13, Merry X'mas and Happy 牛(bull!) Year

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echoesian
post Feb 19 2016, 12:27 PM

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My CIMB Asia Pacific Dynamic Income Fund has dropped -15%, is it time to buy more to average down ?
echoesian
post Feb 21 2016, 12:12 AM

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QUOTE(xuzen @ Feb 19 2016, 03:00 PM)
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I am still keeping this fund in my portfolio. The preferred minimum exposure is 25%; maximum exposure is 33% of your total equity portion. Whether to buy or not buy will depend on how much you already have in your portfolio.

Xuzen
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This fund in my portfolio is 7.8%. I have 3 non-Malaysia UT namely Aberdeen, Affin Hwang Select Asia Quantum and this fund. All these three funds having negative return while my MY funds are not dropping that much.
echoesian
post Feb 21 2016, 12:14 AM

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QUOTE(sunshine-kc @ Feb 19 2016, 05:52 PM)
Thinking of Buying More. But worried about the 3 sectors they are exposed to ( Ie Financials, Industrial and Telecom ) and top 4 countries ( HK, Singapore, Taiwan and Australia ). These places and sectors dont look to bright over the next 2 to 4 years ? Not Sure ........  rclxub.gif

Please enlighten me on the logic behind keeping the portfolio between 25% to 33% of Total Portfolio ??
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But FMS is recommending this Fund this month! : rclxub.gif
echoesian
post Feb 22 2016, 11:39 PM

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QUOTE(xuzen @ Feb 21 2016, 10:19 AM)
MY funds dropped a lot in 2015 especially those big cap. When did you enter MY fund? Those who entered in 2014 will know what I am talking about. 2015 was US mkt due to the MYR weakness.

Xuzen
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I have been accumulated those MY funds since 2014. The MY funds are performing very well, it gives me average 10%+ overall.
echoesian
post Feb 22 2016, 11:43 PM

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Anyone here is making positive return from Aberdeen Islamic World Equity - Class A?
echoesian
post Feb 22 2016, 11:50 PM

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QUOTE(dasecret @ Feb 22 2016, 11:47 PM)
I am. Barely. IRR 2% or so. Had it for quite long. From 2014
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hmm.gif Erm.... What was your purchase price?

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