My current strategies on my portfolio are two:
1. trade the my long hold stocks during rebound to lower my holding cost
2. remain short ETF in my portfolio to hedge my long hold stocks' loss
1. trade the my long hold stocks during rebound to lower my holding cost
2. remain short ETF in my portfolio to hedge my long hold stocks' loss
Queueing to add some position since the market rebounding today.
Hope can match it when I wake up tomorrow 😛
Hope can match it when I wake up tomorrow 😛
1
This is the quote that I always tell myself. I always dream for buy low sell high, but the reality always be buy high sell low due to panic sell especially when market going red like recent days. Therefore, currently I choose to buy the stocks that I confident like big companies with positive PE and cash flow and leave with certain ratio of cash in hand. The cash gives me the confident and calm myself as I could persuade myself that I could buy more if go lower. However, it stil...
Planning to do mid long term investing by constructing a portfolio and holding for whole year.
This is a new try for me as I am not a patient guy and always be interested in short term trading but loss money most of the time. Thus, hope this changes could improve my portfolio and become precious experience for my future investing life.
NEW YEAR NEW ME
This is a new try for me as I am not a patient guy and always be interested in short term trading but loss money most of the time. Thus, hope this changes could improve my portfolio and become precious experience for my future investing life.
NEW YEAR NEW ME
1
$ChargePoint(CHPT.US$
Hope can do a pull back before breakout
Hope can do a pull back before breakout
5
$Facebook(FB.US$
Should I wait for correction or buy it now?
Should I wait for correction or buy it now?
2
1
$NIO Inc(NIO.US$
the trend seems changing... 👀
the trend seems changing... 👀