最近又傳出某些國家使用瑞德西韋不是很有效治療新冠肺炎病人,歐洲經濟數據很差,加上最近港股反彈浪弱過美股,組合早市沽出港股。五窮六絕將至,還是審慎些好。
中國的廠房已全面復產,組合小注持有Apple & Tesla等待即將公怖的業績。
組合長倉持股(截至24-04-2020) | 比重 |
北美指數追蹤基金mpf (截至22-04-2020) | 12.14% |
美股 | |
Internet Commerce: | |
Amazon | 12.66% |
Computer - Software: | |
Microsoft Corp | 9.35% |
Computer - Mini: | |
Apple Inc | 4.76% |
Motor Vehicles & Passenger Car Bodies: | |
Tesla Inc | 3.81% |
Broadcast - Radio & TV: | |
Netflix Inc | 4.02% |
Data Center: | |
Equinix Inc | 5.04% |
REIT - Equity Trust Other | |
SBA Communications | 4.82% |
Laboratory Analytical Instruments: | |
Bio-Rad Laboratories | 4.55% |
Specialty Cleaning, Polishing and Sanitation: | |
Clorox Company | 5.21% |
Bonds | |
Treasury Bond: | |
iShares 7-10 Year Treasury | 10.01% |
iShares 10-20 Year Treasury | 4.82% |
Metals | |
ETFs - Precious Metals: | |
SPDR Gold Trust SPDR Gold Shares | 9.57% |
現金+人壽儲蓄保險 | 31.26% |
總倉位 | 122.03% |
淨倉位(長-短-現金) | 66.36% |
組合YTD(未計股價已除淨但未到派息日的股息) | -12.46% |
恆指YTD(截至24-04-2020) | -15.46% |
標普500YTD | -12.20% |
納斯達克綜合指數YTD | -3.77% |
譚先生你好,我是一位九十後投資者,一直於公餘時間鑽研投資法門。拜讀你的博客已久,獲益良多,希望可以多了解你的選股法則。有餘閒的話,希望你可以在博客中略略提一下,指教後輩。謝謝
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羊兄你好。我只是普通散戶,實在不敢賜教大家。我選股會揀股價位於200天移動平均線上的股票。股價能夠早於大市調整見底時已經一浪高於一浪。儘量趁大市調整買入強勢股。加埋最新一季業績個純利增長要勉強追到個來年預測市盈率,同埋經營現金流正數,同埋企業最好現金總額減掉長期負債仍是現金淨額。
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