Hi! In the month of June, we have experienced a month of extreme volatility in the stock market. On some days, the bull was really strong; while on others, it just fell flat. Anyway, to update on my movements for June, here’s another short summarised article coming up. Let’s start with my stocks portfolio! This month, I resumed my little portfolio rebalancing such that is more skewed towards the US Market. I have managed to close a few of my positions in the Singapore Market, and have decided to hold on to the rest until further recovery can be seen. The current breakdown of my portfolio is about 50% SG Stocks and 50% US Stocks. To summaries, I have made the following transactions in the month of June: I started the month by closing some of my under-performing and fundamentally weak Singapore Stocks – Sembcorp and SPHI also closed my...