Worldvision is a Christian ministry that helps poor children and the communities they live in. What I like about them is that you can see the specific person...
We're changing the performance fee structure of the fund. It's currently 30% + 3% of profits - 30% goes to the fund managers while 3% goes to a charity. This...
Summary End January NAVPS: 1.2034 Month performance: -1.72% Year to Date performance: -1.72% The fund lost 1.72% on the month. Our stock holdings had not done ...
Summary End February NAVPS: 1.2554 Month performance: 4.04% Year to Date performance: 2.52% The correction finally came. The Chinese index was the first to go ...
Summary End March NAVPS: 1.2643 Month performance: 0.73% Year to Date performance: 3.25% Portfolio Mix Bonds 67.87% Phil stocks 11.53% Currencies 12.06% Poker...
Summary End April NAVPS: 1.2899 Month performance: 2.09% Year to Date performance: 5.34% Portfolio Mix Bonds 67.86% Phil stocks 14.84% Currencies 12.57% Poker...
Summary End April NAVPS: 1.2899 End May NAVPS: 1.2997 Month performance: 0.80% Year to Date performance: 6.04% Portfolio Mix Bonds 52.52% Phil stocks 14.11% ...
Summary End May NAVPS: 1.2997 End June NAVPS: 1.3224 Month performance: 1.96% Year to Date performance: 8.00% Portfolio Mix Bonds 53.07% Phil stocks 12.11% ...
Summary End June NAVPS: 1.3224 End July NAVPS: 1.3379 Month performance: 1.26% Year to Date performance: 9.26% Portfolio Mix Bonds 36.13% Phil stocks 14.11% ...
Summary End July NAVPS: 1.3379 End August NAVPS: 1.3120 Month performance: -2.11% Year to Date performance: 7.15% Portfolio Mix Bonds 46.67% Phil stocks 11.06%...
Just wanted to share this post in Motley Fool, pretty much my investing/poker strategy, betting with good odds :) http://boards.fool.com/Message.asp? ...
Summary End August NAVPS: 1.3120 End September NAVPS: 1.3049 Month performance: -0.58% Year to Date performance: 6.57% Portfolio Mix Bonds 46.67% Phil stocks...
Summary End September NAVPS: 1.3049 End October NAVPS: 1.3153 Month performance: 0.87% Year to Date performance: 7.41% Portfolio Mix Bonds 52.19% Phil stocks...
Summary End October NAVPS: 1.3049 End November NAVPS: 1.3153 Month performance: -2.41% Year to Date performance: 5.07% Portfolio Mix Bonds 54.97% Phil stocks...
Ilustrado December report Summary End October NAVPS: 1.2829 End November NAVPS: 1.2740 Month performance: -1.02% Year to Date performance: 4.05% Portfolio Mix ...
There has been a lot of turmoil in the financial markets recently. Markets have been going down big, and going down fast. I would like to say though that our...
Ilustrado January report Summary End December NAVPS: 1.2740 End January NAVPS: 1.2496 Month performance: -1.91% Year to Date performance: -1.91% Portfolio Mix ...
Ilustrado February report Summary End January NAVPS: 1.2496 End February NAVPS: 1.2327 Month performance: -1.33% Year to Date performance: -3.24% Portfolio Mix...
Summary End February NAVPS: 1.2327 End March NAVPS: 1.2526 Month performance: 1.56% Year to Date performance: -1.68% Portfolio Mix Bonds 63.68% Cash,...
Summary End March NAVPS: 1.2526 End April NAVPS: 1.2559 Month performance: 0.26% Year to Date performance: -1.42% Portfolio Mix Bonds 62.45% Cash, Philippine...
Summary End April NAVPS: 1.2559 End May NAVPS: 1.2831 Month performance: 2.13% Year to Date performance: 0.71% Portfolio Mix Bonds 60.55% Cash, Philippine Peso...
We'll be removing the ilustrado poker account as of today, 6/14/08. We feel that long term this will not be in tune with our goal to establish ilustrados as a...
Hi, we're introducing a time deposit product with a yield of 5.0% p.a. net for any time period from 1 month to a year. For tenors of more than a year or...
Bitoy tanong, di ba nagplaplace ka sa foreign markets / currencies? 'Pag dollar ibigay sa yo, magagamit mo ba tapos dollar din mawiwithdraw? o magulo ba yun?...
hi bitoy, yeah im wondering the same thing. or can i buy dollars through you? dollar investment then dollar withdrawal as well. shao ... From: Irvin Soyangco...
Hi Irv, Shao, yup for the ilustrados fund you can give in dollars, pero I have to convert them in pesos at the rate at the time of deposit. You can also...
Summary End May NAVPS: 1.2831 End June NAVPS: 1.2858 Month performance: 0.23% Year to Date performance: 0.93% Portfolio Mix Bonds 26.05% Cash, Philippine Peso...
Summary End June NAVPS: 1.2858 End July NAVPS: 1.2927 Month performance: 0.57% Year to Date performance: 1.47% Portfolio Mix Bonds 25.85% Cash, Philippine Peso...
Hi, our Net Asset Value (NAV) just hit a new record high yesterday at 1.3388. We've beaten Philippine mutual funds and UITFs soundly this year with a year to...