Loss YTD increased to -5.08% or -11.55% on a weighted annualized basis. No dividend received in September. I added $3,000.00 of fresh fund into the portfolio in September. As my portfolio allocation had achieved the targeted allocation of 60% equity and 40% bond, I planned to sit tight and only increase equity allocation if STI dropped to between 1500-2500.
Link to Yaruzi's low cost portfolio as of September 2015