Portfolio allocation as of Sep '22
SG Shares: DBS, SGX, Valuetronics
SG Reits: Syfe Reit+
US Growth: BABA, INMD, PYPL, SHOP, TDOC, UPST
Last month I began my post saying that “it was a good month to deploy capital”. This month was even better. I continued my DCA of QUAL and IQLT. Added a little to my Syfe REIT+ portfolio too. Markets are volatile, but with a significant portion of my portfolio in ETFs (62% in Sep vs 58% in Aug), and with a time horizon of forever, I am buckling up for the ride and staying invested. I look at stocks prices daily but I only compute my net worth monthly, because my holdings are spread across various brokers. The market volatility doesn’t really bother me – up or down, I continue adding to my ETF positions. Looking to add to my HS Tech and STI ETF holdings in the near future....