Q107 Close

My portfolio (at cost) of S’pore and M’sia stks for Q107 close,

The STI closed at 3231.24, +8.22% fm end 2006. Using cost as a ref, my portfolio stats,

  1. Size : +2.54%
  2. Realised Profit/Loss : +10.33% (Profits : +8.93% ; Div : +1.40%)
  3. Unrealised Profit/Loss : +37.28% or -1.08% (taking into acct +39.34% carry fwd fm 2006)
  4. Net Portfolio Performance : 10.33% – 1.08% = 9.25%

So, 9.25% vs 8.22% (STI), only marginally better than STI. If we remove the div component, then 7.95% vs 8.22% (STI), ie underperformed!

Changes in portfolio,

  1. New Additions : FirstREIT, Metro, SembMarine, CitySpring
  2. Increases : MacCookPSF, ThomsonMed
  3. Decreases : SPH, SingPost, Cambridge
  4. No Change : PBankF, SPAus
  5. No More : MMP, MIIF, AllCo

One Reply to “Q107 Close”

  1. Woah, KK. You are providing quarterly reporting as well. Very professional indeed. Look like your project is getting more and more detail. Thank you for sharing 🙂

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