MARI invest

Prohere7321

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IMG-4744.jpg


As long realised return is green and high, it’s all good. Sold all, unrealised return should be $0.

Showing the whole progress of my MII payout, profit, loss. Started MII since 270325. Overall total positive return is $1370.55.

April 2025
  • $26.72 (010425) (Payout)
  • $10.44 (070425) (Profit)
  • $53.61 (300425) (Payout)
May 2025
  • $107.91 (300525) (Payout)
June 2025
  • $107.91 (300625) (Payout)
July 2025
  • $127.25 (030725) (Profit)
  • $123.83 (310725) (Payout)
August 2025
  • $120.93 (060825) (Profit)
  • $160.33 (290825) (Payout)
September 2025
  • $125.26 (100925) (Profit)
  • $159.83 (300925) (Payout)
October 2025
  • $93.65 (211025) (Profit)
  • $158.51 (311025) (Payout)
November 2025
  • $158.51 (281125) (Payout)
December 2025
  • $6.29 (311225) (Profit)
  • $158.51 (311225) (Payout)
January 2026
  • $4.19 (300126) (Profit)
  • $158.51 (300126) (Payout)
February 2026
  • $158.51 (270226) (Payout)
March 2026
  • -$650.15 (060326) (Loss)
 

Mr.Canberra

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GG liao. WTI gap up above $100. USD on steroids. MAGA coming true.

MII 1 year low at $9.33 is possible now! Tanking low 3 figures loss for now. 🤣
 

~sabaisabai~

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This one is real sale unlike the rubbish fake GSS every year. 🤣

Yes you look at all charts for Apr 2025 (Liberation day). V-Shape recovery after some weeks.
Even covid time market crash. V shape recovery too

And yes, for those holding long term. Buy on dip. GSS now :p
 

jayvenkoh

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Any prediction of tomorrow nav? I sold a small portion of MII on Sunday. So tomorrow i will only get to know the confirmed price.
 

lazy999

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Roughly 70% chance happening that 090326 MII NAV Price is likely to be around 9.38 to 9.40, based on the current overnight market movement.
Sighz, i load in 1st round last friday at 9.45.
On hold my 2nd round first.
Seem like its still can go down further given the situation now.
 

pratik28

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My MIG also in negative alr due to last few price drops , laugh or cry haha.
But I guess thats the process or nature atleast for Gold and some other instruments ,
where short term volatile is expected as its suppose to be a mid to long term hold asset anyways.
 
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