The portfolio declined by SGD 10,000 this month, representing a 1.7% loss. Despite this setback, year-to-date dividends remain strong at SGD 13,000. While the lack of semiconductor allocation resulted in stagnant performance this month, I remain committed to my long-term investment strategy. $POP MART(09992)$ $CHINA LESSO(02128)$ $Alibaba(BABA)$