$Affirm Holdings(AFRM.US$ Any news? The bottom warehouse I just bought yesterday
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$Carvana(CVNA.US$ 80's everyone make a fortune
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$Boeing(BA.US$ The 737 MAX has had too many accidents. I have been paying attention to whether it is a 737 MAX when flying for many years, and I have always avoided taking the 737 MAX. Life is short, don't be kidding until you've done everything you want to do 🙏
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$Chewy(CHWY.US$Entering December, I didn't expect it to go back again. It's Chewy's turn to have a wave of market trends
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$Direxion Daily FTSE China Bull 3X Shares ETF(YINN.US$ Half a year after China reopened its borders, there were few international visitors to China. This is another sign that China is getting farther away from the West.
In the first half of this year, the number of overseas visitors to major cities such as Beijing and Shanghai was less than one-quarter of the comparable figures in 2019.
In the first half of this year, the number of overseas visitors to major cities such as Beijing and Shanghai was less than one-quarter of the comparable figures in 2019.
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$SPDR Dow Jones Industrial Average Trust(DIA.US$
My current position: Go long, 80% position has not changed.
Shorting: $Direxion Daily S&P 500 Bear 3X Shares ETF(SPXS.US$ 5%, yesterday's stop loss was cut in half
$ProShares UltraPro Short Dow30 ETF(SDOW.US$ Open 15% of positions today.
Long and short 4:1, adding up to a full position
like $Tesla(TSLA.US$ I have cut 1/3 of my positions before, and I don't want to reduce them until it is certain that the price will rise or remain the same. $Alphabet-C(GOOG.US$ It didn't break the level either, and the stop loss was 120. $Costco(COST.US$ The turtle continued to rise rapidly. Although it was slow, it soon rose again. $Unity Software(U.US$ with $Deere(DE.US$ I have been an honors student for the past two days and have performed very well.
Why did they choose the short Dow index as a risk hedge? It is clear that the Nar Index and the Sox were stronger than before. There is clearly a bubble
A bubble does not mean an immediate decline, and being overrated is no reason to go short. If you are short, pick soft persimmons.
1. Assuming high interest rates, as long as interest rates are not cut, the stock market will not reach new highs.
2. The Dow is only 5% away from its all-time high, and the Nasdaq and S&P are 10% off,...
My current position: Go long, 80% position has not changed.
Shorting: $Direxion Daily S&P 500 Bear 3X Shares ETF(SPXS.US$ 5%, yesterday's stop loss was cut in half
$ProShares UltraPro Short Dow30 ETF(SDOW.US$ Open 15% of positions today.
Long and short 4:1, adding up to a full position
like $Tesla(TSLA.US$ I have cut 1/3 of my positions before, and I don't want to reduce them until it is certain that the price will rise or remain the same. $Alphabet-C(GOOG.US$ It didn't break the level either, and the stop loss was 120. $Costco(COST.US$ The turtle continued to rise rapidly. Although it was slow, it soon rose again. $Unity Software(U.US$ with $Deere(DE.US$ I have been an honors student for the past two days and have performed very well.
Why did they choose the short Dow index as a risk hedge? It is clear that the Nar Index and the Sox were stronger than before. There is clearly a bubble
A bubble does not mean an immediate decline, and being overrated is no reason to go short. If you are short, pick soft persimmons.
1. Assuming high interest rates, as long as interest rates are not cut, the stock market will not reach new highs.
2. The Dow is only 5% away from its all-time high, and the Nasdaq and S&P are 10% off,...
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