Portofolio masing2 +-10% LPCK(8006), GMTD (6613)
7%, $BJTM (431),$EMDE(133),$LTLS(1006),$PNIN(691),$AMAG(222),$AMFG(7089). 33.57% cash. 14.66% reksadana pasar uang.
return ytd 25.5%
Portfolio 31 December 2014
Portofolio masing2 +-10% LPCK(8006), GMTD (6613)
7%, $BJTM (431),$EMDE(133),$LTLS(1006),$PNIN(691),$AMAG(222),$AMFG(7089). 33.57% cash. 14.66% reksadana pasar uang.
return ytd 25.5%
Pak wealth, itu portfolio berdasarkan kriteria screening yang bapak tulis y?? thanku..
Iya bu