MAJOR NEWS


Live Economic Calendar Powered by the Forex Trading Portal Forexpros.com
Loading...

Thursday, November 20, 2008

Try out new ways.....upd 19Nov2008

Date Start: 1Jan2008
NAV = $3,504.22 as of date 19Nov2008
Returns to-date (since 1Jan2008) = -29.92%

Benchmark: iShares MSCI EAFE Index Fund (ETF)
Date Start: 1Jan2008
NAV = $2,316.90 as of date 19Nov2008
Returns to-date (since 1Jan2008) = -51.66%

Monday, November 17, 2008

Dividend Report 17Nov2008

Stock Name
XD Date
Dividend
DBS GROUP HOLDINGS LTD
19-Nov-08
SGD 0.2
SINGAPORE AIRLINES LTD
19-Nov-08
SGD 0.2
SINGAPORE PRESS HLDGS LTD
09-Dec-08
SGD 0.19
SIA ENGINEERING CO LTD
14-Nov-08
SGD 0.05
STARHUB LTD
17-Nov-08
SGD 0.045
SINGAPORE AIRPORT TRML SVCSLTD
14-Nov-08
SGD 0.04
ASCENDAS INDIA TRUST
12-Nov-08
SGD 0.0347
HUPSTEEL LTD
04-Dec-08
SGD 0.025
MACARTHURCOOK INDUSTRIAL REIT
13-Nov-08
SGD 0.0235
DATAPULSE TECHNOLOGY LIMITED
02-Dec-08
SGD 0.02
SMRT CORPORATION LTD
12-Nov-08
SGD 0.0175
PARKWAYLIFE REIT
10-Nov-08
SGD 0.0171
LIPPO-MAPLETREEINDORETAILTRUST
17-Nov-08
SGD 0.016
SIM LIAN GROUP LIMITED
25-Nov-08
SGD 0.016
PCI LTD
10-Nov-08
SGD 0.015
THOMSON MEDICAL CENTRE LIMITED
16-Dec-08
SGD 0.015
SINGAPORE POST LIMITED
12-Nov-08
SGD 0.0125
BEYONICSTECHNOLOGY LIMITED
27-Nov-08
SGD 0.012
F J BENJAMIN HOLDINGS LTD
13-Nov-08
SGD 0.011
MTQ CORPORATION LIMITED
14-Nov-08
SGD 0.01
TRANSIT-MIXED CONCRETE LTD
09-Dec-08
SGD 0.01
CHOSEN HOLDINGS LIMITED
10-Nov-08
SGD 0.00875
HAI LECK HOLDINGS LIMITED
13-Nov-08
SGD 0.008
FIBRECHEM TECHNOLOGIES NCPS
17-Dec-08
SGD 0.0075
KODA LTD
12-Nov-08
SGD 0.005
MIDAS HLDGS LIMITED
26-Nov-08
SGD 0.005
MIYOSHI PRECISION LIMITED
08-Jan-09
SGD 0.003
CSC HOLDINGS LTD
04-Dec-08
SGD 0.0023
AUSSINO GROUP LTD
11-Nov-08
SGD 0.0017
FRAGRANCE GROUP LIMITED
04-Dec-08
SGD 0.0015
OMEGA NAVIGATION ENT,INC.
13-Nov-08
USD 0.5
RICKMERS MARITIME
13-Nov-08
USD 0.0225
LUXKING GROUP HOLDINGS LIMITED
11-Nov-08
CNY 0.02

Monday, November 10, 2008

Quote (034-2008)

There is no "One Best Way" to get wealthy for everyone, but everyone has his very own "One Best Way".

===== Koh Wee Guan, Wayne =====

Wednesday, November 5, 2008

Try out new ways.....upd 03Nov2008

Date Start: 1Jan2008
NAV = $3,674.01.28 as of date 03Nov2008
Returns to-date (since 1Jan2008) = -26.52%

Benchmark: iShares MSCI EAFE Index Fund (ETF)
Date Start: 1Jan2008
NAV = $2,749.02 as of date 03Nov2008
Returns to-date (since 1Jan2008) = -43.02%

MMF Update

This is a follow-up to MMF rtn vs Bank deposit rates which I post on a monthly basis.

Remarks: $1,000 parked in MMF would have yielded $9.41 more than savings rates YTD since 1st Jan2008. I am comparing MMF to savings because of their withdrawal flexibility.
Other figures as shown above. Fixed Deposit, on the other hand, is not as flexible when it comes to withdrawal.
Fixed Deposit rates reference: MAS

MMF annualized returns as of 31Oct2008 since 1Jan2008: 1.381% p.a