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Fund Updates
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Title
View
Date
FEFI Down 0.3% in August After July Rally
87
September 3, 2010
RBI surprises with 0.5% hike in Reverse Repo
119
September 1, 2010
US: Market valuations at multiyear lows
114
September 1, 2010
Can Quantitative Easing Work For The US?
246
August 24, 2010
What does a slower growth mean for Taiwan?
242
August 16, 2010
Singapore: Ugly 3Q 10 GDP disguise reality
366
August 12, 2010
FEFI Gained 5.1% in July As Major Stock Markets Advanced
300
August 6, 2010
FSM Portfolio: Risk takers rewarded with bigger winnings
241
August 5, 2010
US Economy: Moderate growth in 2Q 10 marks fourth straight quarterly expansion
130
August 4, 2010
Financial Sector - Where are the Opportunities?
202
August 4, 2010
Subsidies Cut - Making Malaysia More 'Palatable'
659
July 26, 2010
Taiwan unexpectedly hike rate. Good or bad to the equities?
163
July 26, 2010
Indian Equity Funds Steal the Show Globally
156
July 23, 2010
KOSPI Will Move Higher In the Kick-Off of Rate Hike Cycle
117
July 23, 2010
Will stress tests cure the European banking sector?
175
July 20, 2010
Bank of Thailand hopped onto the rate raising bandwagon
115
July 16, 2010
Singapore – Growing faster than China in 2010?
225
July 15, 2010
IMF says world will grow faster than expected this year
144
July 15, 2010
FSM Portfolio: Funds invested into Malaysia helped preserve portfolio capital
195
July 14, 2010
The Impact Of The RMB Reform
238
July 9, 2010
FEFI Down 7.4% at the Half-Year Mark
146
July 7, 2010
Top Performing Markets at Half Time: Indonesia the runaway leader
253
July 2, 2010
New FX Regulation To Benefit The Korean Market
177
June 30, 2010
Why investors shouldn’t worry about May’s Nonfarm payrolls
328
June 10, 2010
FSM Portfolio: Bonds Helped Preserve Portfolio’s Capital
345
June 3, 2010
FEFI Down by 10.2% in May 2010
394
June 2, 2010
Singapore: Earnings upgrades continue in the face of Europe’s woes
279
May 27, 2010
Germany and Their Stunner to Global Equity Markets
306
May 25, 2010
Malaysia: A strong rise in 1Q 10 GDP established another rate hike
467
May 17, 2010
Japan: Quantitative Easing to Resume, What’s Next?
184
May 14, 2010
FSM All-Equity Fund Index Down By 0.2% in April 2010
277
May 7, 2010
US stocks fall nearly 10%, and then bounce back
345
May 7, 2010
Rescue package a done deal for Greece
254
May 6, 2010
Brazil hiked rates by 75bps. Rate-Hike Cycle Kicks Off!
194
May 5, 2010
3 Reasons Why South Korean Equity Market Will Outperform
249
May 5, 2010
US: 1Q 10 GDP – The consumer awakens!
166
May 5, 2010
Why Diversify?
395
April 30, 2010
Mythbusting: Frequent Rebalancing Improves Portfolio Returns
706
April 28, 2010
New measures to cool Chinese property market
340
April 23, 2010
Will Greece affect my investments in Europe?
291
April 23, 2010
SEC charges Goldman Sachs with fraud
231
April 20, 2010
New Coverage: Australia, Brazil and Russia
342
April 16, 2010
US Financials – PB ratios matter
215
April 16, 2010
Singapore: Stronger-than-expected 1Q 10 growth, SGD to appreciate
149
April 14, 2010
Health Care bill passed by Congress; US consumers not greedy spendthrifts after all!
172
April 9, 2010
Moderately aggressive investors rewarded with a 1.8% return in March 2010
365
April 6, 2010
Top performing funds of 1Q 2010
800
April 5, 2010
FSM All-Equity Fund Index up by 2.0% in 1Q 2010
216
April 2, 2010
Top Performing Markets for 1Q 2010: Indonesia leads the pack yet again
366
April 1, 2010
RBI Cracks the Whip and Hikes Rates; S&P Upgrades the Ratings Outlook of India to Stable
140
March 26, 2010
Federal Reserve maintains low rates to nurse economy back to health
209
March 19, 2010
Market Snapshot: Australia Leads the Way towards Global Policy Normalisation
239
March 15, 2010
FSM Conservative Portfolio outshines once again
400
March 10, 2010
Malaysia: Firm economic recovery underpinned surprising interest rate hike; Good for KLCI
566
March 10, 2010
Thailand: After the Verdict, Economic Fundamental Remain Intact
208
March 9, 2010
FSM Chart Center: A Brand New Look
282
March 8, 2010
FSM All-Equity Fund Index inched up by 0.9% in February 2010
321
March 4, 2010
Major Europe economies maintain growth, EU forges agreement to aid Greece’s woes
216
February 23, 2010
EPF Funds Potentially give Higher Return than your EPF
1716
February 22, 2010
Gold Bubble Set To Burst In 2010
739
February 22, 2010
Indonesia Market Update
340
February 12, 2010
FSM Recommended Portfolio Revamp and New Factsheets
769
February 5, 2010
FSM All-Equity Fund Index dipped by 1.9% in January 2010
261
February 5, 2010
US 4Q 09 GDP better-than-expected, recent market correction a temporary pullback
254
February 5, 2010
Increased regulation for US banks?
328
January 25, 2010
Russia: The World’s Best-performing Market in 2009. What’s next?
323
January 19, 2010
China’s Faster-than-expected Recovery Leads to an Unexpected Rate Hike!
447
January 15, 2010
Malaysia: Key catalysts that are lining up in 2010 to drive the market
737
January 12, 2010
US: 2010 growth at 3.7%
287
January 11, 2010
FSM All-Equity Fund Index rose by 37.8% in 2009
261
January 7, 2010
Top Funds of 2009
899
January 6, 2010
Top Markets of 2009
493
January 4, 2010
Brazil: Almost back to its pre-crisis peak. What’s next?
258
January 4, 2010
In-House Research Views: What & Where to Invest In 2010
899
December 31, 2009
Malaysia IPI: Another reaffirming sign of economic recovery on track
480
December 14, 2009
A surprising turnaround for Malaysian exports in Oct 2009
436
December 9, 2009
FSM All-Equity Fund Index Inches Upwards in November
313
December 4, 2009
The Impact of Dubai’s Debt Crisis on the Malaysian Economy
642
November 30, 2009
Dubai’s debt problems: No systemic risk seen
351
November 30, 2009
Malaysia 3Q2009 GDP: Narrower contraction; Set for positive growth in the next quarter
445
November 24, 2009
Exit Strategy is Underway. Good or Bad for the Global Equities?
613
November 23, 2009
Can you time the market?
566
November 18, 2009
Key Interest Rates Unchanged for Many Countries
349
November 9, 2009
FSM All-Equity Fund Index Took a Breather in October
309
November 6, 2009
A reason why you should invest in mutual funds: Diversify in a cost-efficient way
638
November 3, 2009
US economy posts 3.5% growth in 3Q 09, recession ends
256
November 2, 2009
Market Snapshot: South Korean Shows Strongest Growth in Seven Years
215
October 30, 2009
Is there more upside for global financials?
568
October 29, 2009
Thailand Market Update
294
October 22, 2009
Singapore: Economic growth returns with a vengeance
294
October 19, 2009
The Economic Cycle and Equity Market
730
October 19, 2009
Market Snapshot: Brazil becomes an Investment-Grade market!
350
October 12, 2009
US: Third quarter earnings season starts with a bang!
292
October 12, 2009
Indonesia and India Equity Markets Continue to Lead the Pack!
331
October 8, 2009
FEFI Performed Beyond Bearish September Expectations
279
October 7, 2009
5 Reasons why the Bull Market is still in its infancy
639
October 6, 2009
A flattish August for the FEFI
365
September 9, 2009
5 Reasons Why The US Will Be Great Again
690
September 8, 2009
Prudential: Passing the Economic Baton
426
September 3, 2009
Will a turnaround in US consumption occur?
491
September 2, 2009
Japan’s economy has emerged from its deepest postwar recession
249
August 28, 2009
Prudential: Time to Bond
630
August 20, 2009
Hong Kong is Out of Recession; and HSI Will Reach a New High in 2011!
408
August 19, 2009
Should you be worried about the recent increased volatility in China’s A-shares markets?
597
August 17, 2009
Quick Update: France and Germany emerge from recession!
248
August 14, 2009
TA Investment's Equity Market Outlook for August
374
August 12, 2009
A Sustainable Recovery Is Afoot For S. Korea, KOSPI To Hit 2600 Points By 2011
228
August 11, 2009
FEFI Surges 6.5% in July 2009!
375
August 6, 2009
US: Better-than-expected 2Q 09 contraction, 3Q 09 to show positive growth
317
August 5, 2009
Ignore the Consensus, FBMKLCI to breach 1,500 points by 2011
797
August 4, 2009
AMP Capital Investors: From Bear to Bull – the Cyclical Upswing in Shares
461
July 29, 2009
Japan: Far From Full Recovery Amid Political Uncertainties
251
July 24, 2009
A recovery in Malaysia is in sight
1415
July 21, 2009
Singapore Officially Out of Recession!
630
July 16, 2009
Singapore Emerging from Recession and its Implications for Malaysia
369
July 15, 2009
Top Markets in 1H 2009 – Indonesia and India lead the pack
394
July 13, 2009
A Revival in Global Financials
476
July 13, 2009
Star Ratings: Attractive Markets despite some downgrades
530
July 13, 2009
Yudhoyono’s Victory boost Indonesia’s Growth Outlook
253
July 10, 2009
FSM All-Equity Fund Index (FEFI MY) Up 19.7% at the Half-Year Mark
351
July 9, 2009
India’s Budget of Gamble
211
July 8, 2009
RHB Investment Management's Market Updates
386
July 3, 2009
Malaysia Economic Update (July 2009) from AmResearch Sdn Bhd
418
July 1, 2009
TA Investment Management's Equity Market Outlook
904
June 19, 2009
What to Expect in the Malaysia Market for June (Prudential)
1367
June 9, 2009
China's Economy: Riding Out The Storm
947
June 5, 2009
Big Rise in the FEFI in May! The FEFI Surged 8.5%
593
June 3, 2009
After The Strong Run Up In Markets, What's Next?
847
June 2, 2009
The "Green Shoots". Will they take root? (Prudential)
403
May 28, 2009
Malaysia Economic Update (May 2009) from AmResearch Sdn Bhd
512
May 28, 2009
Reasons Behind India’s Stock Market Surge
424
May 21, 2009
Is The Worst Over For the Malaysia Market?
1055
May 20, 2009
India: Congress Scores a Decisive Victory - Comments from Fullerton Fund Management
229
May 19, 2009
US Corporate earnings to bottom out in 2009
486
May 15, 2009
FEFI (MY) April Performance Review
356
May 12, 2009
Equity Funds Make A Comeback 1Q 2009
880
April 22, 2009
Relaxation of mark-to-market rules the panacea for the US financial sector?
647
April 8, 2009
FEFI (MY) March Performance Review
613
April 8, 2009
Most Equity markets higher in 1Q 2009, has the tide turned?
875
April 7, 2009
3 Reasons for the Recent Rally in Financials
878
March 26, 2009
Uncovering Reasons behind Malaysia’s Resiliency to the Crisis
1759
March 17, 2009
Introducing the FSM All-Equity Fund Index
1205
March 17, 2009
4 Bright Spots & A Dull One for Greater China in 2009
1591
February 27, 2009
Asian Economies To Take The Lead
662
February 20, 2009
US Economic Growth may return in 3Q 2009
953
February 12, 2009
Brazil after the Crash in Commodities
2702
February 3, 2009
Oil Prices Have Crashed 70%, Where Is This Leading?
691
January 19, 2009
FSM All-Equity Index (MY)
656
January 16, 2009
A Technology Recovery in 2009?
682
January 16, 2009
Favourite and Least Favoured Regions for 2009
421
January 15, 2009
Top and Bottom Picks of the Asian Equity Markets for 2009
491
January 15, 2009
How Much Have Equity Markets Risen Since 2008 Bottom
828
January 9, 2009
Malaysia Commodities Updates – A Cyclical Downturn
1181
January 7, 2009
Our Asset Allocation Decision For 2009
1212
December 24, 2008
Tidings of Comfort and Joy – 2009 Will Be A Better Year
633
December 24, 2008
The Power of Compounding
1078
December 23, 2008
Understanding Leading Economic Indicators
853
December 19, 2008
Interpreting Market Indicators
857
December 19, 2008
PE and Earnings Growth
2585
December 12, 2008
Tracking Leading Indicators
2228
December 12, 2008
5 Reasons Why the US Market May Be Past a Bottom
936
December 11, 2008
6 Steps to Fixing Your Portfolio amidst a Market Crash
852
December 10, 2008
Don't Panic In The Midst Of A Market Crash!
998
December 3, 2008
3 Reasons for Upgrading Malaysia to 4 Stars
948
November 24, 2008
Why 4 Stars Rating on Thailand?
495
November 18, 2008
China: At its Most Attractive Level in the Past Decade!
836
November 17, 2008
Irresistible Indonesia – An Upgrade to 3.5 stars!
493
November 11, 2008
Equity Markets at a Bargain, 13 Upgrades to Our Star Ratings!
806
November 7, 2008
US: Upgraded to a 4 Stars Market!
733
November 3, 2008
Dollar Cost Averaging Method
1950
October 30, 2008
Take Heart: Why the Malaysian Bear Market is Common
2525
October 24, 2008
Two Ratios to Measure a Fund’s Risk Factor
855
October 22, 2008
Panic Selling, Panic Buying?
932
October 15, 2008
Malaysian Property Sector: Dim Prospects for Now
1216
October 15, 2008
The End of the World is Not Here!
571
October 14, 2008
Indonesia: A Buy and Hold
633
October 13, 2008
How To Use Our Chart Center
1079
October 9, 2008
India and China, The Biggest Losers in the First Three Quarters of 2008
599
October 7, 2008
Our Take on the Impact of the US$700 bn Bailout Package
601
October 6, 2008
Islamic Equities More Resilient During the Subprime Crisis
995
September 30, 2008
Depressed over Inflation and Rising Prices?
795
September 30, 2008
Can Policymakers Rescue the Financial Markets?
531
September 24, 2008
Finding Opportunities In The Current Financial Crisis
1086
September 23, 2008
What to make of the current US Financial Crisis
955
September 18, 2008
Thailand, Cheap but Near-term Uncertainty Looms
761
September 17, 2008
A Busy August & An Important September for Malaysia
1028
September 10, 2008
Is China Still Attractive After
1513
September 5, 2008
Russia – The Kremlin Marches On
716
September 2, 2008
Singapore Inflation Likely to Trend Lower in 2009
728
September 2, 2008
The Lowdown on Management Expense Ratios
585
August 28, 2008
Japan's Resiliency to Inflation
1643
August 27, 2008
Getting to Know Palm Oil: A Key Pillar for the Malaysian Economy
3420
August 22, 2008
Still Cautious On India
1031
August 21, 2008
Maximise Returns while Minimising Risk with a Core and Supplementary Portfolio
1090
August 21, 2008
Markets In The Red in 1st Half 2008!
349
July 7, 2008
Is It All Smooth Sailing For China & Hong Kong Banks?
381
June 27, 2008
Peak Oil or Peaking Oil?
911
June 25, 2008
Steering Malaysia's Economy: Consumption And Commodities
1371
June 13, 2008
Recession Still Looks Likely For The US
406
May 26, 2008
Global Financials Back In Contention - Part II
386
May 9, 2008
Global Financials Back In Contention - Part I
545
May 9, 2008
Threats And Opportunities In China Equities Now
568
April 29, 2008
Equity Markets in Sea of Red in 1Q 2008
362
April 9, 2008
Why Has The Price of Gold Surged So Quickly?
697
March 19, 2008
Shocking Malaysian Election Results - What's Next?
525
March 14, 2008
US Corporate Earnings Set To Decline Sharply
288
March 4, 2008
Understanding Recessions Better
751
February 15, 2008
US Economy To Sink Into Sub-Zero Growth
280
February 1, 2008
Top Performing Markets In 2007
391
January 4, 2008
Which Is The Most Attractive Regional Market In 2008?
440
January 4, 2008
Have Yourself a Merry Little Christmas Now – Uncertainty in the US is Certain in 2008
434
December 21, 2007
When Safe Might Not Be So Safe, and When Risky Is A Bargain
393
December 21, 2007
What To Make Of The Volatility In China?
757
November 28, 2007
Carry Trades - How Do They Affect Markets During Volatile Times?
420
November 21, 2007
What Do The US' 3Q2007 Earnings Reveal?
436
November 21, 2007
Chinese Yuan At New Heights But
490
November 15, 2007
Will China Weather The Sharp Slowdown In The US?
712
November 2, 2007
US Economy Heading For A Sharp Slowdown
972
October 25, 2007
High Oil Prices and Its Impact on Investments
1523
October 24, 2007
Short Memories
470
October 22, 2007
Top Performing Markets In The First Three Quarters Of 2007
343
October 4, 2007
Top-performing Markets For 1H2007
482
July 6, 2007
Implications of Red-hot SE Asian Currencies
874
May 11, 2007
Malaysia: More Upside On The Way!
956
April 17, 2007
Top Markets for First Quarter 2007
431
April 9, 2007
When Is The Market Volatility Going To End?
439
March 16, 2007
Greater China Markets - What's Next?
1524
February 7, 2007
Asian Markets Soaring – What are the Existing & New Drivers?
931
November 17, 2006
Best Performing Markets In First 3 Quarters 2006
319
October 4, 2006
Best Performing Markets In First Half 2006
314
July 4, 2006
Why Are Global Markets Still Choppy
363
June 9, 2006
Our Views On Recent Market Volatility
349
May 25, 2006
Top Markets For 1st Quarter 2006
385
April 5, 2006
Will the Indian Bull Run Last?
380
January 20, 2006
Will The Rate Hike In China Affect Market Performance?
655
January 4, 2006
Top Performing Markets In 2005
441
January 4, 2006
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