Tong's Portfolio
as of 09 Feb 2023

Balance high-risk opportunistic buys with low-risk assets in your portfolio
Global Portfolio
Returns (since December 2017)
31.4%
MSCI World Net Return Index
45.2%
Malaysian Portfolio
Returns (since October 2014)
158.6%
FBM KLCI
-19.6%

For more details, read the latest issue of The Edge Malaysia or subscribe to AbsolutelyStocks.com