Friday 29 August 2014

Tong Kooi Ong's Portfolio


Tong Kooi Ong's Portfolio

My portfolio fell despite the market increase on 28 Aug 2014.

The portfolio value decreased by 0.28% to RM105,416.63 while the FBM KLCI increased by 0.28% yesterday.

Total returns for the portfolio dropped from 5.7% to 5.4%.

The portfolio started on 8 July 2014 with a capital of RM100,000. Since then, it has outperformed the FBM KLCI by 6.3%, and has registered an annualised return of 38%.

Total profits currently stand at RM5,416.63 of which RM545.44 have been realised, RM6,330 are unrealised and RM1,458.81 are commission costs incurred. 

The portfolio’s major gainer for yesterday were KSL(+3.1%).The stocks that lost ground were Ocean Cash(-4.2%),CCK(-2.9%) and Symlife(-2.5%).

I bought 5,200 units of Zecon at 0.95 yesterday, and sold 13,500 units of Superlon Holdings at 0.705.


Thursday 28 August 2014

Tong Kooi Ong's Portfolio


Tong Kooi Ong's Portfolio

My portfolio increased slightly despite the fall in the market on 27 Aug 2014.

The portfolio value went up by 0.08% to RM105,621 while the FBM KLCI declined by 1.2% yesterday.

Total returns for the portfolio rose from 5.6% to 5.7%.

The portfolio started on 8 July 2014 with a capital of RM100,000. Since then, it has outperformed the FBM KLCI by 6.9%, and has registered an annualised return of 40.9%.

Total profits currently stand at RM5,708.00 of which RM950.44 have been realised, RM6,179.50 are unrealised and RM1,421.94 are commission costs incurred. 

The portfolio’s major gainers for yesterday were CCK(+2.0%)  and Oceancash (+4.3%). The stocks that lost ground were Latitud Tree(-2.4%) and Fiamma Holdings(-1.4%).

There were no sales or purchases made yesterday.



Wednesday 27 August 2014

Tong Kooi Ong's Portfolio

My portfolio increased slightly despite the fall in the market on 26 Aug 2014.

The portfolio value went up by 0.4% to RM105, 172 while the FBM KLCI declined by 1.6% yesterday.

Total returns for the portfolio rose from 5.2% to 5.6%.

The portfolio started on 8 July 2014 with a capital of RM100,000. Since then, it has outperformed the FBM KLCI by 7.2%, and has registered an annualised return of 41.0%.

Total profits currently stand at RM5,621.00 of which RM950.44 have been realised, RM6,092.50 are unrealised and RM1,421.94 are commission costs incurred. 

The portfolio’s major gainers for yesterday were Latitud Tree(+4.8%)  and Oceancash (+6.2%). The major losers were Superlon (-2.0%),SHL(-1.6%) and KSL(-0.8%).  

Yesterday,  I sold the following stocks:

15,000 shares of Micro MSC for RM0.30 per share. Compared to our cost of RM 0.32 per share, we made a total loss of RM 300.

9,500 shares of A-Rank for RM0.68 per share. We made a loss of RM485 as we bought the share at RM 0.73 per share.

There were no purchases made yesterday.