Portfolio 1 (self)
Status: Unhealthy, need to reduce stock percentage
Stock 98%
- Sabana
- Healthway (selling mode)
- First Reit
- LippoMaple
- Capitalmall Asia (selling mode)
*Investible Cash exclude emergency fund + daily fund
Portfolio 2 (Joint)
Status: Waiting for good opportunity
Stock - Cache 20%
Investable Cash(exclude emergency fund) 80%
5 comments:
Hello OT,
I am not sure what's the difference between portfolio 1 and 2 (him and her portfolio?); but I see 2 very postives:
1) Portfolio 1 - new cash is coming in. This saved me when I first blew up my margin account. It allowed me to press the "restart" button.
2) Portfolio 2 - lots of dry gun-powder! If the market corrects by 20%, you can still sleep at night!
In the words of Isaac: Jia You!
Are you thinking going into some farming or hunting instead of being all time favorite young rolling stone cowboy?
Hi SMOL,
I really need jiayou. Thanks. I am quite worry on portfolio 1.
Hi CW,
What do you mean? I don't quite get it? Mind elaborate more?
Thank you.
Read? Active and Passive Investing
thanks uncle. Got it.
Post a Comment