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$Tesla (TSLA.US)$ $SPDR S&P 500 ETF (SPY.US)$ $Apple (AAPL.US)$ Positions
In bear markets, I always operate with low positions. The Webmaster Line started yesterday, and I didn't expect it to explode directly today. Posted early this morning today
The purchase, unfortunately, started early, and the position was too low. Of course, maintaining steady profits is also this way of thinking, so it has been profitable this year.
Therefore, there are also disadvantages, so consider them carefully.
Currently, the market expects the Fed's interest rate hike cycle to come to an end. At the same time, the recession is not serious from various data; the probability of a slight recession is projected
The previous one was higher, so I'm considering long-term positions for this position, and at the same time choosing an industry with a higher degree of certainty.
The opportunities are now becoming more and more obvious. Some underestimate serious varieties; deep-seated investors are about to welcome spring; all they have to do is wait.
Individuals have now begun careful selection. Some positions have been added today. Currently, long-term positions are 3%, and intraday ultra-short term lines are occasionally added, full
The operating capital of the system is about 10% every day.
Do it slowly. Under the premise of stable earnings, select the opportunity for long-term positions to 10%, increase intraday operating positions, and operate capital on a daily basis
Gold was raised to 40%, and the bottom positions of the two accounts totaled 20%, so offensively and retractable, they can be defended.
Now we need to start a slow shift in thinking to meet the bottoming out of the market. Of course, this does not mean that the market immediately surges after hitting bottom, the bottom
The full length of the market is half a year, and the short one is two months. All investors need to do is select varieties under the premise of position allocation, because
Since some sectors have already bottomed out, and some sectors are still searching for the bottom. If the configuration is poor, there will be a situation where the index is profitable but not profitable.
Investors who are lacking in testing, are currently allocating some active funds,
Index funds and the like are good choices. November total
Optimistic.
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