$能源指數ETF-SPDR(XLE.US)$I would have bought this but markets a scam like entity 😆 those 5 cent calls at 95 though this morning or 6 cent calls should have bought but if I do I get screwed even though oils up alot Today
We saw semiconductor stocks such as$英特爾(INTC.US)$and AMD (AMD) experienced significant losses, nearing 5%, following reports that China has mandated telecom companies to replace foreign chips with domestic ones by 2027. With this mandate, Intel and AMD would face substantial challenges, these 2 companies has China as their market. With Intel Q1 results coming up on 25 April and AMD would release their results on 01 May, we would need to be awa...
Oil prices are increasing again due to the Geopolitical tensions of both the Russia-Ukraine and the Middle East vs Israel. What's more shocking is that analysts are predicting that prices are likely to break out of $100 mark even if these tensions start to ease. Warren Buffett's Berkshire Hathaway has significant investments in the oil sector, with over $32 Billion vested in$雪佛龍(CVX.US)$and$西方石油(OXY.US)$!...
$能源指數ETF-SPDR(XLE.US)$feel like manipulation is rampant in the usa market like no gain till I sell calls the stock only moves up after even though oil ran nuts yesterday
With this mandate, Intel and AMD would face substantial challenges, these 2 companies has China as their market. With Intel Q1 results coming up on 25 April and AMD would release their results on 01 May, we would need to be awa...
目前tlt的走勢很微妙。雖說不一定會馬上暴跌,但是走的很危險。價格在所有短期均線下方,均線逐漸走出了空頭排列的趨勢。如果近期不能扭轉乾坤,之後恐怕會有一波可怕的跌幅。不過我認爲不會跌倒去年的低點。
而且可能會連累股市。畢竟股市急需一波回調。
目前我的債券賬戶已經清倉了tlt。目前持有兩個etf,其餘資金在券商賬戶,自動買入貨幣基金吃利息。
$長期公司債ETF-Vanguard(VCLT.US)$
$iShares優先股和收益證券ETF(PFF.US)$
這兩個的股息率比較高,所以拿着壓力也不大。
看看明天的CPI是驚喜還是驚嚇吧。反正我對於近期油價的上漲非常不滿。儘管我持有的 $能源指數ETF-SPDR(XLE.US)$ 一路飆漲,但我並不喜歡這種行情。
黃金價格繼續漲。投機的交易者咱就不說了,短炒一波沒問題,但我不懂所以不碰。對於投資者,持有黃金,絕對不如持有美元資產。黃金短炒確實可以賺錢,但從長線來看,不僅不...
What's more shocking is that analysts are predicting that prices are likely to break out of $100 mark even if these tensions start to ease.
Warren Buffett's Berkshire Hathaway has significant investments in the oil sector, with over $32 Billion vested in $雪佛龍(CVX.US)$ and $西方石油(OXY.US)$ !...
簡直太讓人失望了,竟然能搞出一個3開頭的交付數據出來。
如果不搞投機,我手上的這些也沒啥好賣的,目前主要持有ai股:
$台積電(TSM.US)$ , $微軟(MSFT.US)$和 $谷歌-C(GOOG.US)$ , $英偉達(NVDA.US)$
以及行業etf: $醫療保健精選行業指數ETF-SPDR(XLV.US)$ , $能源指數ETF-SPDR(XLE.US)$ , $公用事業精選行業指數ETF-SPDR(XLU.US)$ $網絡安全ETF-Global X(BUG.US)$
這些都沒法操作,捨不得賣,但目前的價位也沒法買,除了xlu可以回踩加倉。
唯一可能會賣掉的,是pltr,今天有可能破位,但我買的很少 $Palantir(PLTR.US)$
這兩天10年期國債上漲,科技股承壓,但除非有證據表明聯儲局今年不降息,否則沒必要賣掉手上的優質股票。
前一陣子拿着不動,有牛友問我,好久...
但是沒有大礙。整數只是心理關口。目前,日線收盤價保持在ma20與ema20上方。小時線圖多頭排列得到了鞏固。只要保持在這個位置,堅持到下週交車數據之後不跌,這一波就走穩了。
股價年初至今跌了這麼多,交付數據的預期已經很低了,只要別太拉誇就好。fsd的利好在這裏吊着,只要有一小部分資金從 $英偉達(NVDA.US)$ 流出,就能推高tsla。我選擇繼續持股觀望,沒有操作。
nvda這邊,今天跌到890,我稍微買了一點點。倉位很小。
如果恐高科技股,可以關注一下這個板塊:xlu
$公用事業精選行業指數ETF-SPDR(XLU.US)$
我之前被xlu坑過,不過最近技術面上看,明顯已經走出來了。今天上午我開倉了xlu,減倉了xle。如果之後有回踩,我會考慮加倉。
至於xle,不是不看好。月初的時候我進場了,這波已經漲了不少。目前更看好xlu,所以換過去了一部分。
$能源指數ETF-SPDR(XLE.US)$
暫無評論