Friday, 3 October 2014
Tong Kooi Ong's Portfolio
, my portfolio decreased together with the broader market.
The portfolio value went down by 1.85% to RM 105,958.31 while the FBM KLCI declined by 0.41%.
Total returns for the portfolio decreased from 8.0% to 6.0%.
The portfolio started on 8 July 2014 with a capital of RM100,000. Since then, it has outperformed the FBM KLCI by 8.9%, and has registered an annualised return of 25.0%.
Total profits currently stand at RM 5,958.31.
The gainer for the portfolio was Ken (+0.9%). The stocks that lost ground were Willow (-6.4%), Fibon (-4.0%) and KSL (-3.3%).
There were no stock transactions yesterday.