組合回顧
組合其實買賣的都是來來去去那些公司,沒有甚麼新意。昨晚科技、醫藥股下跌,傳統金融、能源上升支撐指數,不過無謂買入落後股追回報,只怕這些公司長遠會跑輸大市。今週很多大型美企公怖業績,靜候市場反應。
今週賣出 GLD,買了小注Alphabet,首季業績3月開始廣告收益急跌,但雲服務增長逾50%,成為未來增長引擎。買了半導體股MPWR,公司最近設計了emergency ventilator 去幫助醫護人員,減輕ICU呼吸機的不足問題。
組合長倉持股(截至30-04-2020) |
比重 |
北美指數追蹤基金mpf (截至24-04-2020) |
12.15% |
美股 |
|
Internet Commerce: |
|
Amazon |
12.83% |
Computer - Software: |
|
Microsoft Corp |
9.48% |
Computer - Mini: |
|
Apple Inc |
4.88% |
Semiconductors & Related
Devices: |
|
Monolithic Power Sys |
4.98% |
Nvidia Corp |
4.85% |
Motor Vehicles & Passenger
Car Bodies: |
|
Tesla Inc |
4.06% |
Internet - Services: |
|
Alphabet Cl C |
2.80% |
Broadcast - Radio & TV: |
|
Netflix |
4.36% |
Data Center: |
|
Equinix Inc |
4.90% |
REIT - Equity Trust Other |
|
SBA Communications |
4.51% |
Laboratory Analytical
Instruments: |
|
Bio-Rad Laboratories |
4.57% |
Specialty Cleaning, Polishing
and Sanitation: |
|
Clorox Company |
5.03% |
Retail - Restaurants: |
|
Domino's Pizza |
4.51% |
Bonds |
|
Treasury Bond: |
|
iShares 7-10 Year Treasury |
9.85% |
iShares 10-20 Year Treasury |
4.71% |
|
|
現金+人壽儲蓄保險 |
22.34% |
總倉位 |
120.79% |
淨倉位(長-短-現金) |
83.90% |
組合YTD(未計股價已除淨但未到派息日的股息) |
-12.56% |
恆指YTD(截至29-04-2020) |
-12.58% |
標普500YTD |
-9.85% |
納斯達克綜合指數YTD |
-0.93% |
| |
| |
| |
科技及醫藥股都是權重股,科技、醫藥股下跌令人不安
回覆刪除暫時都要留番三成現金係手,若有需要會提升現金水平。
刪除又全數沽出港股?
回覆刪除想保留番多D現金。我買科技股為主,都係移師去美股會多D選擇。
刪除