I was expecting this kind of flow after all.
Not having a position was the right choice, but maybe I should have bought a little to enjoy and learn from the unnatural rise and subsequent futures-triggered decline.
I was expecting tomorrow to be a buying opportunity, so (apologies to holders) I am expecting a decline. Also for the adjustment of margin buying positions.
I have set a budget for trading in one stock, so it's a welcome development for the same budget to increase the number of shares held (and also increase dividends per share).
This time, I really want to buy a certain stock at a low price and leisurely hold it for dividends.
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