#243: Reviewing my portfolio for 2016 episode artwork

EPISODE · Dec 7, 2016 · 29 MIN

#243: Reviewing my portfolio for 2016

from WorldWide Markets with Simon Brown

Reviewing my portfolio for 2016 Simon Shares Standard & Poor's left offshore debt as is (one notch above junk) and dropped the ZAR debt to two notches above junk and on a negative outlook. Standard & Poor's have to decide on junk or not by end 2017 or change the negative outlook to stable, so another anxious 2017 awaits us. Reviewing Simon's portfolio for 2016 Some great returns, some middling and one very nasty. Portfolio is published here and returns (ex dividends for the 12 months to close 3 December 2016) as below. Simon's portfolio returns for 2016 We Get Mail @luckysibiya74 Hi Simon, do you think it's a good idea to borrow money to buy shares and is there a type of loan that's purely for buying shares? JSE – The JSE is a registered trademark of the JSE Limited. JSEDirect is an independent broadcast and is not endorsed or affiliated with, nor has it been authorised, or otherwise approved by JSE Limited. The views expressed in this programme are solely those of the presenter, and do not necessarily reflect the views of JSE Limited.

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