In order to track my performance throughout the years, I will be posting updates regarding my portfolio, and to share my current thoughts about the market. I intended to post this much earlier but work caught up with me. Readers can expect me to update this quarterly, and they reflect the current NAV of my holdings at the end of the second week of each quarter.
Accurate as of Sep 18 2011
Initial Net Asset Value: $10.00
Net Asset Value as of September 18 2011: $9.71
Fund Prospectus & Philosophy:
Our Aim
To engage in investment operations that upon thorough analysis, promise safety of principal and an adequate return.
Our Philosophy
As value investors, we invest in companies that we believe trade at a discount to their intrinsic business value. We do not seek to time the market, but rather pay a fair and reasonable price for companies that have ...
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