Q210 – Close

My portfolio (at cost) of S'pore stks for Q210 close,

 

Portfolio-Q210
 

The STI closed at 2835.51, -2.14% fm end 2009. Using cost as a ref, my portfolio stats (vs 2009),

  • Size : +8.89%
  • Realised Profit/Loss : +5.31% (Profits : +1.69% ; Div : +3.62%)
  • Unrealised Profit/Loss : -0.74% (+0.5% if remove 2009 carry fwd)
  • Net Portfolio Performance :
  • – At Cost : -0.74% + 5.31% = +4.57%
  • – At End-2009 Mkt Value : 0.5% + 5.31% = +5.81%

So, +5.81% vs -2.14% (STI), quite a good performance after the poor performance in 2009. For reference, this would have been +5.16% if I'd included both GTC and MPS.

Changes in portfolio (vs Q110),

  • New Additions : SingTel, ComfortDelgro, PLife
  • Increases : HLFin, Thomson, AIMSAMPIREIT, FSL, StarHill Gbl
  • Decreases : CitySpring, SPAusNet, SBSTransit, SPH, M1
  • No Change : Cambridge, FrasersComm, GTC, Rickmers, StarHub, MacCookPSF, SingPost
  • No More : Lion Apac, LMIR

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