Monthly update on my Portfolio percentage breakdown and dividends received (if any). It’s the last day of the month, so it’s time to do a portfolio update. (: My portfolio listed here consists purely of equities only, and excludes social security (CPF & SRS), debt instrument holdings (i.e. bonds & SSBs etc), emergency funds, as well as personal savings. As such, any returns from the excluded items above (e.g. dividends from CPFIS, bond coupons and interests from CPF/savings accounts etc) will be excluded in the total amount in the 'Dividend Updates' section below as well. Portfolio Breakdown by Securities For the month of September, I took up a decent position of Apple Inc. (AAPL) and Microsoft Corporation (MSFT) in my portfolio. AAPL and MSFT are Apple and Microsoft respectively, and I believe they need no further introduction. I didn't look at much financial statements or ratios, or scroll through...