Market been volatile, so have my portfolio. Therefore, for this post, its probably time to talk a bit more about my portfolios and the top 10 positions.
The Background of My PortfolioS
For those that still do not know, I had 2 portfolios.
As I had explained previously, one of them is solely US companies, and the other is a mixture of SG and US companies. What I did not state is that the one solely with US companies has a 3-year period. The one with a mixture of SG/US companies has a 10-year period.
However, over time, both portfolios have changed. The timeline remains the same. But both of them currently has a mixture of US, SG and HK companies.
In addition,
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