The comparison of the estimated holding period return between my portfolio and the KLCI is as follow:
For comparison of my portfolio vs KLCI annualized return in the last 1Y, 3Y, 5Y and since inception, see below
Trading Activities
May
1. Buy LPI (8621)
June
1. Buy PB Bank (1295)
2. Buy Tune Protect
3. Buy Astro (6399)
July
1. Sell Symphony Life
2. Buy Astro
Aug
1. buy HLFG (1082)
2. Sell Symphony Life (1538)
3. Sell DKSH
4. Buy Astro (6399)
5. Buy MNRB (6459)
6. Buy LPI (8621)
7. Buy Magnitech (7087)
8. Buy Hup Seng (5024)
September
1. Buy Ambank (1015)
2. Buy HLFG (1082)
3. Buy Astro (6399)
4. Buy LPI (8621)
October
1. Buy LPI (8621)
November
1. Buy Takaful (6139)
2. Buy Astro (6399)
3. Buy LPI (8621)
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