Singapore Investing

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Portfolio & NAV Updates December 2011

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Here’s a quick update on NAV of the fund and its current holdings. There will be a follow up post in the coming week where I discuss the changes in the portfolio and the general market condition.

Accurate as of 18 Dec 2011

Initial Net Asset Value: $10.00

Net Asset Value as of  Dec 18 2011: $9.76

Hypothetical Growth of $10,000 invested since September 2011

* A total return index is an index that measures the performance of a group of components by assuming that all cash distributions (dividends) are reinvested, in addition to tracking the components’ price movements

Written by juno.tay

December 18, 2011 at 5:41 pm

Posted in Fundamentals, Updates

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