QUOTE(cucikaki @ May 13 2020, 01:34 PM)
good ma, we buy at lower navOpus Touch, Self-Service UT Platform
Opus Touch, Self-Service UT Platform
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May 13 2020, 01:46 PM
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#201
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May 13 2020, 03:16 PM
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#202
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QUOTE(cucikaki @ May 13 2020, 02:39 PM) it's all about timing and luck, like i want to do something over the weekend and redeemed on wed and got it on last Fri and now invest again on yesterday with lower nav as compare to Fri |
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May 13 2020, 05:41 PM
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#203
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May 13 2020, 07:39 PM
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#204
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May 15 2020, 01:07 PM
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#205
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May 15 2020, 03:06 PM
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#206
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QUOTE(abcn1n @ May 15 2020, 02:32 PM) I redeemed all except my MPF yesterday. BTW, does anybody know what are the bond yields like for IPF? The 7-8% pa I believe is a mixture of both capital gains and bond yield but I just want to know the yield/coupon rate. the 7-8% pa is you put it on day 1 and in the middle up and down till the 365th days u got the final NAV of the units u bought on 1st daywithout redeem u still cannot see the real value. so if you redeem in the middle when it is high and buy again in the middle when it is low, you might get more than the one who let the units sit inside without doing anything This post has been edited by tan_aniki: May 15 2020, 03:06 PM |
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May 15 2020, 05:41 PM
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#207
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QUOTE(funboy555 @ May 15 2020, 05:39 PM) Ya man. I think has to be fair, be it afternoon get or at night get, it is T+1. I think they are doing the best effort. I never see anyone in the market can do this. Last time I invest in those others, 5-6 days to get my money back. Even those so called Robo Adviser also takes 5-6 days. that's why people like to invest with them, even boost don't want partner with them anymore i will still support them with fpxIt is not easy, first the funds need to be liquid and also the way the process our applications is crazily smooth and fast. Really give credit to them. CS team also responsive. hopefully they come out with cc as well |
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May 15 2020, 10:03 PM
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#208
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QUOTE(choco_ice @ May 15 2020, 09:41 PM) I see, thanks! I thought IPF redemption same like SIPF as SIPF same time redemption follow previous day NAV. all fund redeem before 4pm on that day follow the NAV after 6pm on that day, not previous NAVopus just roughly let u know how much your units worth based on previous day NAV, but the next day you will get the actual value following the NAV of the day u redeem This post has been edited by tan_aniki: May 15 2020, 10:04 PM |
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May 16 2020, 01:23 PM
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#209
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QUOTE(coo|dude @ May 16 2020, 01:19 PM) https://www.opusasset.com/products/unit-tru...come-plus-fund/already got all the graph why wanna do double work? |
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May 16 2020, 01:50 PM
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#210
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May 16 2020, 03:35 PM
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#211
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QUOTE(GrumpyNooby @ May 16 2020, 02:38 PM) Only MPF has monthly distribution. err... MPF also didn't commit to monthly distribution, you can see from the past history as wellIPF and SIPF are NOT committed for qaurterly distribution and it is up to them if they want to declare. In the PHS, the distribution policy is at least once a year. Distribution Policy The Fund intends to distribute income, if any, at least once a year. |
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May 16 2020, 04:49 PM
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#212
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May 16 2020, 05:40 PM
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#213
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May 16 2020, 06:04 PM
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#214
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QUOTE(GrumpyNooby @ May 16 2020, 05:55 PM) First of all, I didn't even use the word "commit monthly". check in between 26/6/19 - 28/8/19, 31/12/18 - 26/3/19Read back my original post, I said "has monthly" based on recent distribution history. ![]() FM needs to provide up-to-date monthly factsheet of all the funds under their management. Distribution history is part of the info needs to be in the fund factsheet. |
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May 16 2020, 07:42 PM
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#215
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May 18 2020, 11:25 PM
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#216
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May 19 2020, 11:30 AM
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#217
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SIPF dropped IPF stay while MPF up
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May 19 2020, 12:47 PM
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#218
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May 26 2020, 08:03 PM
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#219
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QUOTE(MNet @ May 26 2020, 07:27 PM) Why the price is not moving since day 1? based on previous history on others should take 15 days to movehttps://www.opusasset.com/products/unit-tru...isk-asset-fund/ |
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May 26 2020, 08:31 PM
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#220
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