Portfolio 1QFY22

It’s the end of 1Q2022. The following are the stocks that WEESTOCK is holding at the end of 1QFY22.

  • Increase holding in Endowus, Raffles Med, Starhill, VWRA, VUSD, VT and China Leader ETF
  • Decrease holding in Comfort, KeppelCorp, SembCorp, SGX, STEng and UOB
  • Sell off HLFin

The following are the sector breakdown of WEESTOCK portfolio.

  • Financial decreased from 40.18% to 37.31%
  • TSC decreased from 17.14% to 17.10%
  • Multi decreased from 12.00% to 10.98%
  • REITS increased from 9.20% to 9.66%
  • MFG increased from 7.24% to 7.46%
  • SERV increased from 4.02% to 4.47%
  • FSMOne increased from 3.92% to 4.04%
  • TECH increased from 0.00% to 2.95%
  • Endowus increased from 2.6% to 2.93%
  • IND decreased from 2.92% to 2.24%
  • Com increased from 0.68% to 0.70%
  • ETF increased from 0.08% to 0.15%

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