I was asked this question recently…. Well frankly as the context was that I had to answer the question with a rough estimation, I had to give an answer and I said probably 15.
But I knew
that is highly inaccurate as there has been too many things I have done across
the past years. Nevertheless, it piped me to take a look at my previous sales in
detail.
As I have
over 100 transactions, I will take a look at my last 15 sales and my first 15
sales.
Last 15
Sales
Coy Name |
Ticker |
Sale Price |
Current Price |
Current > Sale Price |
Zengame |
2660 HK |
2.69 |
3.18 |
Yes |
Medialink Group |
2230 HK |
0.194 |
0.189 |
No |
JH Edu |
1935 HK |
1.21 |
1.36 |
Yes |
Chaoju Eye Care |
2219 HK |
4.15 |
5.65 |
Yes |
Yuexiu Services |
6626 HK |
2.51 |
5.02 |
Yes |
Central China NL |
9983 HK |
2.30 |
3.33 |
Yes |
Human Health |
1419 HK |
2.08 |
1.91 |
No |
AV Concept |
595 HK |
0.57 |
0.495 |
No |
Hotel Grand |
H18 SGX |
0.98 |
0.89 |
No |
Samudera Ship |
S56 SGX |
1.22 |
1.22 |
- |
HK Johnson |
1955 HK |
0.98 |
0.72 |
No |
YTO Express Intl |
6123 HK |
2.55 |
2.40 |
No |
Tat Seng Packaging |
T12 SGX |
0.70 |
0.66 |
No |
WKK INTL |
532 HK |
0.91 |
0.72 |
No |
Uni Asia Grp |
CHJ SGX |
1.13 |
0.95 |
No |
5 out of 15
this equates to a hit rate of 33%. In fact, most of it came at late last year
and early this year sales. I still feel that this looks satisfactory to me.
First 15
Sales
Coy Name |
Ticker |
Sale Price |
Current Price |
Current > Sale Price |
TTJ |
K1Q |
0.41 |
0.23 |
No |
Genting Singapore |
G13 |
0.985 |
1 |
Yes |
UOB |
U11 |
20.01 |
30.23 |
Yes |
Valuemax |
T6I |
0.28 |
0.35 |
Yes |
MM2 Asia |
1B0 |
0.53 |
0.043 |
No |
Bund Centre |
BTE |
0.785 |
0.485 |
No |
Singpost |
S08 |
1.315 |
0.555 |
No |
Sembcorp Marine |
S51 |
1.635 |
0.137 |
No |
New Toyo |
N08 |
0.26 |
0.21 |
No |
LHT Holdings |
BEI |
0.69 |
0.7 |
Yes |
PC Partner Group |
1263 |
2.56 |
5.31 |
Yes |
Frasers Cpt Trust |
J69U |
2.19 |
2.16 |
No |
China Aviation |
G92 |
1.70 |
1.03 |
No |
Chu Kong Shipping |
560 |
1.10 |
1.09 |
No |
Figtree Holdings |
5F4 |
0.169 |
0.033 |
No |
Surprise and Surprise, its 5 out of 15 again. But if u asked me, I think my last 15 was better than my first 15.
Let’s put
it in dollar terms, if $1000 is invested in each stock, what is the difference
at the end of the day between selling and holding?
Last 15: -1035.10
First 15:
2783.50
Conclusion
Looking at
this small backtest, I believe that the last 15 tend to be more inaccurate due
to the duration being shorter and as such it is more influenced by market
conditions and sentiments. However, it does show that I am truly a master of
market timing like a noob as the last 15 sales came in 2022 and 2023.
Stretching
a longer horizon, the first 15 happened between 2016 to 2018. As such, some
stocks might have delisted, some might have change in fundamentals and business
conditions etc. Not to mention, Covid has occurred and it might have brought
the companies to new heights or new lows as well. Nevertheless, the first 15
definitely performed much better which justified my decision that holding them for
long term is not ideal.
In fact
only 5 companies having a higher share price than the share price I sold might
paint a true picture that my deficiencies in investing is that I do not have a
sound 3-7 year time-line in my investing line of thoughts when I think about
investing in companies. Something that the person who asked the question
highlighted as well.
Lastly I would like to end off by saying, its never easy to just continue holding on 3-5 years without selling. Even if I did to my first 15, none of them returned 200%. With the highest being around 110%. If discounted across 5 years, the return is just 16%. 40k will be 84k.
I won’t commend if that is good or bad as everyone will
have different view to it.
On other hand, i think its time for me to go think about other non investing related things such as nursing post attending k-pop event depression and how good the S22 Ultra Zoom might be.
Maybe looking at some videos will help
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