投資理財
倉位暫時只持有指數ETF,調整期間隨時出現指數升,部份板塊跌的情況,欲哭無淚。今週倉位下跌0.83%,標普500上升0.82%,納指表現較差,下跌2.11%。出現冰火兩重天的情況。1月中已大幅減低持倉至4成或以下,未來要做的,是找一些抗跌力高的股票買入,作為買入清單。
師兄利害👍
唔利害。2月中回報曾見4.48%,maximum drawdown 3.17%,下次要將drawdown進一步收窄。
Buy MAstock position slightly increase to 24%
Buy BRK.Bstock position increase to 31.3%
Buy DE againstock position: 38.4%
Buy GOOGstock position 45.3%
Buy Visastock position: 52.1%
sell GOOGstock position 45.3%
Sell Vstock position 38.4%
師兄利害👍
回覆刪除唔利害。2月中回報曾見4.48%,maximum drawdown 3.17%,下次要將drawdown進一步收窄。
刪除Buy MA
回覆刪除stock position slightly increase to 24%
Buy BRK.B
回覆刪除stock position increase to 31.3%
Buy DE again
回覆刪除stock position: 38.4%
Buy GOOG
回覆刪除stock position 45.3%
Buy Visa
回覆刪除stock position: 52.1%
sell GOOG
回覆刪除stock position 45.3%
Sell V
回覆刪除stock position 38.4%