Updated Feb 2016
Lazy Man Portfolio - Jan 2016

No.Stock NameAllocation
1Hong Leong Finance (S41.SI)18.96%
2Saizen REIT (T8JU.SI)17.51%
3First REIT (AW9U.SI)11.88%
4Croesus Retail Trust (S6NU.SI)10.98%
5OUE Commercial REIT (TS0U.SI)4.30%
6AIMS AMP CAP INDUSTRIAL REIT (O5RU.SI)4.11%
7CapMallA3.8%b220112 (PW3Z.SI)4.09%
8Ascendas India Trust (CY6U.SI)3.47%
9OCBC Bank (O39.SI)3.11%
10STI ETF (ES3.SI)3.03%
11Accordia Golf T (ADQU.SI)2.03%
12Sabana REIT (M1GU.SI)1.39%
13Maxi-Cash Fin (5UF.SI)0.91%
14Sembcorp Marine (S51.SI)0.74%
15Total (Cash)13.50%

Performance

20142015
XIRR (YTD) – My Lazy Man Portfolio:28.79%-1.46%
XIRR (YTD) – STI ETF:10.38%-8.51%
XIRR (Multi Year) – My Lazy Man Portfolio:5.41%4.30%
XIRR (Multi Year) – STI ETF:4.16%3.02%
Dividends:$1,786.15$1,682.20

My Lazy Man Portfolio review 2015
My Lazy Man Portfolio review 2013