Equity
As I remember during GFC, Portfolio were down more than 50%. However, for the year 2022 Cory XIRR is down -12.8%. This is the 2nd worst after Year 2008 GFC. In absolute, today portfolio size is far greater than the one during 2008. It has been 15 years.
More than 50% drawdown is mainly due to Singapore stocks which are mainly in Reits. This are generally neutral mentally as from investment and cash flow perspective, we are getting more shares cheaper as their fundamental is good despite
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