Wednesday, June 7, 2017

Summary of my portfolio - Feb, Mar, Apr, May 2017

I had been MIA since Feb 2017 due to attending 1 week course, followed by 2 weeks of reservist, 2 weeks of holiday and 2 weeks of business trip. All these activities are just excuses for not finding time to blog :(
 
No.
Counters
No. of Shares
1
CapitaMall Trust
16,500
2
Keppel Corp
2,600
3
Parkway Life REIT
7,000
4
Vicom
2,000
 
Quick summary:
 
  • Contra: Bought 12,500 shares of Singtel at $3.84 on 9th Feb and sold off at $3.94 on 13th Feb 
  • Profit of $917.02 for FIFO in 4 days - 1.9% Profit (Read here
 
  • Sold 11,000 shares of CapitaRetail China Trust on 9th Feb at $1.49 
  • Profit of $1180.69 for 11,000 shares of CRCT in 3 months - 7.5% Profit (Read here
 
  • Contra: Bought 13,000 shares of Comfortdelgro at $2.41 on 20th Feb and sold off at $2.43 on 23rd Feb 
  • Profit of $44.57 for FIFO in 3 days - 0.14% Profit 
 
  • Contra: Bought 90,000 shares of Q&M at $0.675 on 23rd May and sold off at $0.66 on 30th May 
  • Loss of $1684.27 for FIFO in 7 days - 2.76% Loss 
 
  • Received $475.20 of dividends from CapitaMall Trust on 28th Feb
  • Received $312 of dividends from Keppel Corp on 11th May
  • Received $370 of dividends from Vicom on 11th May
  • Received $229.60 of dividends from Parkwaylife REIT on 26th May
  • Received $450.45 of dividends from CapitaMall Trust on 29th May