The Eclectic Trader
This section is an actual portfolio supervised by Capital Dynamics. There are actual trades with contracts. Purchase/sale can be made on any day. The objective of this portfolio is capital gains. The emphasis is on short-term trading. While the approach used will include technical analysis, we do not rely on them exclusively – it will be “intelligently eclectic”. There are no restrictions on the type of shares that will be invested in. We would try to hold at least 6 or more counters. But due to the relatively small sum, some counters may have higher weightings. Stop-loss or trailing-stop will be used. This portfolio started with RM50,000 cash on 1st Dec 1993. The KLSE CI was 1,015.42 points.
As on    
Cash Balance
Asset Allocation