Portfolio

Portofolio 31 Agustus 2015

Posisi stock: 55.6% cash: 11.8% Reksadana pasar uang: 32.4% Ytd: -5.7% Detail performance: https://docs.google.com/spreadsheets/d/1ufHkO5B9nI_K0NfWYutP1nTyierXtJywOXqo6Q1vK7Q/edit#gid=0

Portofolio 31 July 2015

Posisi stock: 63.6% cash: 8.5% Reksadana pasar uang: 27.7% Ytd: 0.19% Detail performance: https://docs.google.com/spreadsheets/d/1ufHkO5B9nI_K0NfWYutP1nTyierXtJywOXqo6Q1vK7Q/edit#gid=0 Pemilihan portofolio bisa dilihat di sini

Portofolio July 2015

Stock 52.8% Cash 19.7% Reksadana pasar uang 27.4% Return YTD 1.4% Dengan semakin turunnya harga saham, kami sudah mulai masuk lagi ke saham BBRI, BNGA dan LPCK History performance dapat dilihat di https://docs.google.com/spreadsheets/d/1ufHkO5B9nI_K0NfWYutP1nTyierXtJywOXqo6Q1vK7Q/edit#gid=0

Portfolio 31 May 2015

Setelah lama tidak update portofolio karena kesibukan, akhirnya bisa update lagi 8% GMTD 7% $AMFG, $MFIN, $PNIN. 22.36% cash. 46.59% reksadana pasar uang. return ytd 1.65%

Portfolio 28 February 2015

Portofolio masih sama dengan bulan lalu kurang lebih masing2 +-10% LPCK(8256), GMTD (6645) 7%, $BJTM (431),$EMDE(131),$LTLS(552),$PNIN(691),$AMAG(223),$AMFG(7111), $MFIN(928). 6.4% cash. 29.22% reksadana pasar uang. return ytd 1.94%

Portfolio 30 January 2015

Portofolio masing2 +-10% LPCK(8256), GMTD (6645) 7%, $BJTM (431),$EMDE(131),$LTLS(552),$PNIN(691),$AMAG(223),$AMFG(7111), $MFIN(928). 26.64% cash. 14.72% reksadana pasar uang. return ytd 2.04%

Portfolio 31 December 2014

Portofolio masing2 +-10% LPCK(8006), GMTD (6613) 7%, $BJTM (431),$EMDE(133),$LTLS(1006),$PNIN(691),$AMAG(222),$AMFG(7089). 33.57% cash. 14.66% reksadana pasar uang. return ytd 25.5%

Portfolio 31 November 2014

Portofolio masing2 10% LPCK(8006), GMTD (6613) 7%, $BJTM (431),$EMDE(133),$INDS(1618),$LTLS(1006),$PNIN(691),$BNGA(896),$AMAG(222),$AMFG(7089). return ytd 25.5%

Portfolio 31 October 2014

Portofolio masing2 7%, $BJTM (431),$EMDE(133),$INDS(1642),$GMTD(6100),$LPCK(7886),$LTLS(925),$NIPS(259),$PNIN(690). return ytd 20.9%

Portfolio 15 August 2014

Posisi per 15 August 2014. Portofolio CFIN(415), GMTD (6104), LPCK(7899), LTLS(760), MPMX(1192), CFIN(415) masing2 5%, cash 70% Return ytd 16%

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