*Official* SGXcafe Thread

Layers

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when you always remind yourself of the motivations behind your investments and buy on the cheap and have confidence in the companies for the long term... then it is easier to have that kind of conviction
Would u be tempted to sell when there is a 20+ capital gain or bo chup n hold for yrs for dividend even if gain go b to 0?

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madtari

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You are my idol! I hope I can ramp up my portfolio fast when the opportunity comes and can start collecting dividends over the next few years! I'm hoarding cash now and trying to time the market to get a good entry point and high dividend yield (despite the saying time in market is better than timing the market). :s13:

Cost = 34,692.88, Current Value = 37,674.9
Day Change = +202.15 (+0.54%)
P&L = +2,982.02 (+8.60%)
P&L + Dividends = +11,038.89 (+31.82%)
P&L + Dividends + Closed = +13,129.93 (+37.85%)


Total Cost = $301,561.195

Current Value = $359,890.39

Day Change = +$2,870.48 (+0.80%)

P&L = +$58,329.2 (+19.34%)

P&L + Dividends = +$104,645.29 (+34.70%)

P&L + Dividends + Closed = +$108,615.65 (+36.02%)


All counters green except SATS & FCT.......huat ah!!!:s12:
 

havetheveryfun

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You are my idol! I hope I can ramp up my portfolio fast when the opportunity comes and can start collecting dividends over the next few years! I'm hoarding cash now and trying to time the market to get a good entry point and high dividend yield (despite the saying time in market is better than timing the market). :s13:

Cost = 34,692.88, Current Value = 37,674.9
Day Change = +202.15 (+0.54%)
P&L = +2,982.02 (+8.60%)
P&L + Dividends = +11,038.89 (+31.82%)
P&L + Dividends + Closed = +13,129.93 (+37.85%)

seems u sold down ur portfolio a lot

Would u be tempted to sell when there is a 20+ capital gain or bo chup n hold for yrs for dividend even if gain go b to 0?

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think this question been asked and answered a lot of times before? sell partial and keep partial lor.. to me I feel that is best for me emotionally
 

potNPan

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Cost = 14,877.49, Current Value = 15,207, Cash = 203.00
Day Change = +230 (+1.54%)
P&L = +329.51 (+2.21%)
P&L + Dividends = +597.31 (+4.01%)
P&L + Dividends + Closed = +1,418.96 (+9.54%)
 

IAmZTX

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Isn't the whole point of investing in dividend stocks is for long term accumulation (capital appreciation + dividend)?

If one were to take short term profit, why focus on dividend stock in the first place?? :s8:
 

Layers

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Isn't the whole point of investing in dividend stocks is for long term accumulation (capital appreciation + dividend)?

If one were to take short term profit, why focus on dividend stock in the first place?? :s8:
Yea but for me noob, not sure watz the best strategy. I have been holding cct for almost 10mnths(consider short term?) and nearing to nav.

Always the qn. To sell or not whem near or reach nav? Just like Dw or someone one said before. see their gain go into red. N change to come FIFO

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IAmZTX

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Yea but for me noob, not sure watz the best strategy. I have been holding cct for almost 10mnths(consider short term?) and nearing to nav.

Always the qn. To sell or not whem near or reach nav? Just like Dw or someone one said before. see their gain go into red. N change to come FIFO

Sent from Sony E6853 using GAGT

I think generally what people do is they sell on separate interval.

Example you got 10k shares of CCT then u sell partial of it and get some profit.

Other than that, the best time to sell is when you need the money. There are other reasons i suppose. (E.g. fundamental change, etc)

Depend on your "goal" actually.
 
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