*Official* SGXcafe Thread

lewissac

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Beta = 0.73, VaR = 9.58%
Expected Shortfall = 11.98%

Day Change = +28.5 (+0.56%)
P&L = +132.56 (+2.64%)
P&L + Dividends = +159.76 (+3.18%)
P&L + Dividends + Closed = +162.27 (+3.23%)

Best ever performance to-date.
 

tony137

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SGX cafe put CMT ex-divd date as 26jan

CMT books close before calculating dividends is 31jan 5pm.
shouldnt ex date be 01 feb?
 

lewissac

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Beta = 0.73, VaR = 9.57%
Expected Shortfall = 11.58%

Day Change = +5.96 (+0.12%)
P&L = +138.52 (+2.76%)
P&L + Dividends = +193.86 (+3.86%)
P&L + Dividends + Closed = +196.37 (+3.91%)

Close to +4%.
 

madtari

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P&L finally above 10%!

Beta = 0.67, VaR = 6.96%
Expected Shortfall = 10.35%

SGD
Cost = 59,062.55, Current Value = 65,169.34, Cash = 806.10
Day Change = +455.6 (+0.70%)
P&L = +6,106.79 (+10.34%)
P&L + Dividends = +14,308.53 (+24.23%)
P&L + Dividends + Closed = +16,399.57 (+27.77%)
 

Gnoixed

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Day Change = (+0.20%)
P&L = (-3.67%)
P&L + Dividends = (-3.42%)
P&L + Dividends + Closed = (-0.47%)
 

TheIntelligentInvestor

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Cost = 798,383.078, Current Value = 850,889.675, Cash Holdings = 0.0
Day Change = +1,954.635 (+0.23%)
P&L = +52,506.6 (+6.58%)
P&L + Dividends = +91,755.68 (+11.49%)
P&L + Dividends + Closed = +354,580.83 (+44.41%)

Bukit Sembawang up 5% in just 2 days :)

Gain $38.3k in 2017!
 

Layers

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Cost = 798,383.078, Current Value = 850,889.675, Cash Holdings = 0.0
Day Change = +1,954.635 (+0.23%)
P&L = +52,506.6 (+6.58%)
P&L + Dividends = +91,755.68 (+11.49%)
P&L + Dividends + Closed = +354,580.83 (+44.41%)

Bukit Sembawang up 5% in just 2 days :)

Gain $38.3k in 2017!
Wa seh. Sometimes cannot see the negative things =_=

Sent from Sony E6853 using GAGT
 

Gnoixed

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Day Change = (-0.02%)
P&L = (-3.69%)
P&L + Dividends = (-3.44%)
P&L + Dividends + Closed = (-0.49%)
 

lewissac

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Beta = 0.73, VaR = 9.57%
Expected Shortfall = 11.58%

Day Change = -55.54 (-1.08%)
P&L = +82.98 (+1.65%)
P&L + Dividends = +138.32 (+2.75%)
P&L + Dividends + Closed = +140.83 (+2.80%)

Dropped 2% but anyway MCT's announcement make me feel good. :s12::s12:
 

lewissac

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Beta = 0.73, VaR = 9.60%
Expected Shortfall = 11.98%

Day Change = +82.42 (+1.61%)
P&L = +165.4 (+3.29%)
P&L + Dividends = +223.62 (+4.45%)
P&L + Dividends + Closed = +226.13 (+4.50%)
 

TheIntelligentInvestor

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Cost = 798,383.078, Current Value = 853,019.755, Cash Holdings = 0.0
Day Change = +3,630.76 (+0.43%)
P&L = +54,636.68 (+6.84%)
P&L + Dividends = +96,084.88 (+12.03%)
P&L + Dividends + Closed = +359,424.22 (+45.02%)


Time-weighted Returns (includes Dividends)
TII 4.94%
STI ETF 6.12%
Performance -1.18%

12% of portfolio is in Bonds which will be a drag on performance in a up market.
 

Layers

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Cost = 798,383.078, Current Value = 853,019.755, Cash Holdings = 0.0
Day Change = +3,630.76 (+0.43%)
P&L = +54,636.68 (+6.84%)
P&L + Dividends = +96,084.88 (+12.03%)
P&L + Dividends + Closed = +359,424.22 (+45.02%)


Time-weighted Returns (includes Dividends)
TII 4.94%
STI ETF 6.12%
Performance -1.18%

12% of portfolio is in Bonds which will be a drag on performance in a up market.
Losing to etf too.

Sent from Sony E6853 using GAGT
 

zzxiaoboizz

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pre cny post

Day Change = (+0.18%)
P&L = (+3.53%)
P&L + Dividends = (+10.74%)
P&L + Dividends + Closed = (+17.25%)

Feb should be interesting with at least 50% of portfolio releasing q4 results. Hope everybody huat
 
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