Hi All,
I am currently having spare money (2k) to spend and plan to do some topup. My current portfolio (started end Dec 2016) as below, with overall ROI of 2.82%. Am thinking to invest in Ponzi 1. Or any suggestion from the sifus here?
Affin hwang select bond - 14%
AmAsia Reit - 14%
CIMB Asia Pac - 16%
CIMB Greater China - 9%
Manulife India - 7%
RHB AIF - 18%
TA European Equity - 9%
Manulife US - 11%
This post has been edited by tapiritam: Mar 11 2017, 09:56 AM
FundSuperMart v18 (FSM) MY : Online UT Platform, UT DIY : Babystep to Investing :D
Mar 11 2017, 09:54 AM
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