Sunday, October 21, 2012

Adjustment to Aggressive Port


Aggressive Port

Buying 2nd chance 0.44 x 100lots (53k to utilise, $29k gain so far)
Buying STX OSV 1.60 x 20lots 

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Buying CWT 1.27 x 10lots = $12.7k 
Kepcorp 10.71 x 3 lots
DBS 13.95 x 2 lots
Hr Glass 1.34 x 10lots
Metro 0.83 x 10lots

*dividends of $2,900 received ($200 left after purchase of CWT)

Thursday, October 18, 2012

Aggressive Port

Selling Noble 1.355 x 20lots = + $5,000 (ex comm)
Selling Cordlife 0.575 x 30lots = + $1,200 (ex comm)
Selling UPP 0.39 x 30lots = +$2,100 (ex comm)
Selling Yoma 0.17 x 30lots = $5,100 ( ex comm)

Buying STX OSV 1.60 x 20lots (97k to utilise, $29k gain so far)

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Buying CWT 1.27 x 10lots = $12.7k 
Kepcorp 10.71 x 3 lots
DBS 13.95 x 2 lots
Hr Glass 1.34 x 10lots
Metro 0.83 x 10lots

*dividends of $2,900 received ($200 left after purchase of CWT)

Monday, September 10, 2012

Update Port

Aggressive Port


Selling sakari at takeover price 1.90 

Noble 1.105 x 20lots
Sakari 1.435 x 20lots = +$9,300 (ex comm) 
Cordlife 0.545 x 30lots
UPP 0.32 x 30lots
Yoma 0.37 x 30lots

Cash of $53k to utilise. ($12k gain so far)

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100k portfolio (balanced 10k cash)
Kepcorp 10.71 x 3 lots
DBS 13.95 x 2 lots
Hr Glass 1.34 x 10lots
Metro 0.83 x 10lots

dividends of $2,900 received

Tuesday, August 21, 2012

Sold Chinaminzhong - aggressive port

Selling Chinaminzhong in aggressive port at 0.765 (before earnings on 27Aug)



Noble 1.105 x 20lots
Sakari 1.435 x 20lots
China minzhong 0.605 x 20lots = +$3,200 ex comm.
Cordlife 0.545 x 30lots
UPP 0.32 x 30lots
Yoma 0.37 x 30lots

Cash of $15k to utilise

Monday, July 16, 2012

Balanced portfolio


16Jul - add metro


100k portfolio (balanced 10k cash)
Kepcorp 10.71 x 3 lots
DBS 13.95 x 2 lots
Hr Glass 1.34 x 10lots
Metro holding 0.83 x 20lots (will count dividends in ex on 3rd Aug)

Tuesday, July 10, 2012

Portfolio

As of Jul 9th, STI 2929

Trying to come out with a portfolio and judge in 6mths of its performance.
Of course, I think I can take profit/cut loss once stocks cross 5% of portfolio

100127k portfolio (Aggressive fund )
Noble 1.105 x 20lots
Sakari 1.435 x 20lots
China minzhong 0.605 x 20lots
Cordlife 0.545 x 30lots
UPP 0.32 x 30lots
Yoma 0.37 x 30lots

100k portfolio (balanced 27k cash)
Kepcorp 10.71 x 3 lots
DBS 13.95 x 2 lots
Hr Glass 1.34 x 10lots