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My Current Plays

For US,
Low risk can buy $Meta Platforms (FB.US)$ $Apple (AAPL.US)$ $Amazon (AMZN.US)$ $Microsoft (MSFT.US)$ $Alphabet-C (GOOG.US)$ . Should be stable, buy and forget stocks. Hold for upwards of 10 years, assuming no big changes. Portfolio holds abt 10%.

Medium risk can buy $Tesla (TSLA.US)$ $NVIDIA (NVDA.US)$ $Advanced Micro Devices (AMD.US)$ $Sea (SE.US)$ . Occasionally need to look at movement of such stocks. Usually hold up to 1 to 2 years and change stocks if outlook changes. Portfolio holds about 80%

High risk can go $GameStop (GME.US)$ $AMC Entertainment (AMC.US)$ $Robinhood (HOOD.US)$ . Need to constantly view the movement, not recommended for investors that cannot stomach losses. Will see money flow in and out quickly from your portfolio. Some recommend to hold for a short squeeze, but its DYODD. Maybe a maximum of 5% of the portfolio is recommended for this.


Stable plays, just go index funds like $Vanguard S&P 500 ETF (VOO.US)$ $Invesco QQQ Trust (QQQ.US)$ $Vanguard Total Stock Market ETF (VTI.US)$ $SPDR Dow Jones Industrial Average Trust (DIA.US)$ . Should not be a problem to keep on holding until you retire and slowly dollar cost average in money every so often. Not allocating funds as not as fun as stock picking.

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