31 December 2010

My Portfolio at the end of 2010.


Activities during this year:

  • Stocks sold: Titan, MAS-Pa.
  • Stocks bought: Notion, TSH, XDL, Kossan, Rex, IQgroup, UMSNGB.
  • Money added: RM 6,000 in July, and RM 3,000 in Oct.

The buys and sells are mainly a result of a trimming process of my portfolio during the middle of this year. Kossan was bought when a new RM3000 fund was injected in October. Rex, IQgroup and UMSNGB are bought based on net-working-capital approach.

For the year 2010, my portfolio's average return rate is about 34% p.a., quite satisfied for me as it's much better than KLCI's performance.

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