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$Tesla(TSLA.US$ Ahhh, fake news, I lost my life
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$iShares 20+ Year Treasury Bond ETF(TLT.US$
Previously, a friend left a message asking me if I sold TLT at 83. Yes, I actually bought 84 and sold 83 at the time. Currently 87 has been bought back.
For example, at the beginning of the year $Tesla(TSLA.US$ When it drops to 100, how many people dare to buy it? For example, if Tesla bought at the end of last year at the end of last year and found it was stuck in the middle of a mountainside, how many people could resist falling to 100? Stop-loss and cutting meat is not a big problem. It is even more reasonable that we didn't buy at 102 when we saw the bottom. It's not like Zhuge Liang can watch the stars。 However, after that, it bottomed out and rebounded, breaking through 125. The signs of a trend reversal were obvious. Should I buy it back at this time?
Currently I'm bullish on TLT for a few reasons:
1. Government debt issuance has abated, and in particular, there has been less issuance of long-term bonds.
2. The economy is weakening. The unemployment rate has risen, and the number of new jobs has been drastically reduced.
3. The US dollar fell below the key position (105-106) and entered a downward trend,
4. TLT broke through the key position and stood at the MA5, 10 and 20 moving average. It is suitable for buying on dips. I actually stood up last Thursday, but I waited a while for Dafenong.
5. Although the weakening US dollar and lower interest rates are also beneficial to the stock market, the current valuations of big technology are too high, and the bad news about the economy will sooner or later reflect the decline in EPS, and the rise in the stock market is unsustainable. Also, I'm waiting...
Previously, a friend left a message asking me if I sold TLT at 83. Yes, I actually bought 84 and sold 83 at the time. Currently 87 has been bought back.
For example, at the beginning of the year $Tesla(TSLA.US$ When it drops to 100, how many people dare to buy it? For example, if Tesla bought at the end of last year at the end of last year and found it was stuck in the middle of a mountainside, how many people could resist falling to 100? Stop-loss and cutting meat is not a big problem. It is even more reasonable that we didn't buy at 102 when we saw the bottom. It's not like Zhuge Liang can watch the stars。 However, after that, it bottomed out and rebounded, breaking through 125. The signs of a trend reversal were obvious. Should I buy it back at this time?
Currently I'm bullish on TLT for a few reasons:
1. Government debt issuance has abated, and in particular, there has been less issuance of long-term bonds.
2. The economy is weakening. The unemployment rate has risen, and the number of new jobs has been drastically reduced.
3. The US dollar fell below the key position (105-106) and entered a downward trend,
4. TLT broke through the key position and stood at the MA5, 10 and 20 moving average. It is suitable for buying on dips. I actually stood up last Thursday, but I waited a while for Dafenong.
5. Although the weakening US dollar and lower interest rates are also beneficial to the stock market, the current valuations of big technology are too high, and the bad news about the economy will sooner or later reflect the decline in EPS, and the rise in the stock market is unsustainable. Also, I'm waiting...
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$Advanced Micro Devices(AMD.US$ You can take a gamble
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$Alphabet-C(GOOG.US$ Surviving the collapse of the market is worthy of you...
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$iShares 20+ Year Treasury Bond ETF(TLT.US$ The bottom is not far
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$Tesla(TSLA.US$ Five waves fall, what price can it reach?
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Thrilling! Interest rates on long-term bonds are rapidly approaching 5%. Can tech stocks still work?
$iShares 20+ Year Treasury Bond ETF(TLT.US$
The 30-year treasury bond has broken through 4.9, sprinting towards the 5% target.
My prediction: when it reaches 5%, there will be a rebound, and it won't be that easy to break through all of a sudden. However, the possibility of rushing to 5.5% again later is not ruled out. But right now, it's a short-term low.
My judgment on TLT was to speed up the bottom. The bottom was the 5% interest rate on long-term bonds, which then bottomed out and rebounded. The corresponding TLT price is around 85.
According to the plan, I sold 85 of the put, which expires this Friday. If it were to be exercised, it would be considered a plagiarism. If you don't exercise your power, go to the market on the right and buy the underlying stock to copy the bottom.
Let's see a rebound of 95 for now, unless there are any black swans.
Today's stock debt is bloody. The CNN Fear Greed Index fell below 20 and is currently 17. The market is extremely fearful.
If meat is cut or shorted at this time, it is likely that it will be harvested. The warehouse can be exchanged. I sold half of my energy stocks and stopped losing half $American Airlines(AAL.US$ , I'm considering what to switch to. I haven't thought about it yet.
presently $UnitedHealth(UNH.US$ as well $Consumer Staples Select Sector SPDR Fund(XLP.US$ The position is already very heavy, and TLT has been added to the bond side...
The 30-year treasury bond has broken through 4.9, sprinting towards the 5% target.
My prediction: when it reaches 5%, there will be a rebound, and it won't be that easy to break through all of a sudden. However, the possibility of rushing to 5.5% again later is not ruled out. But right now, it's a short-term low.
My judgment on TLT was to speed up the bottom. The bottom was the 5% interest rate on long-term bonds, which then bottomed out and rebounded. The corresponding TLT price is around 85.
According to the plan, I sold 85 of the put, which expires this Friday. If it were to be exercised, it would be considered a plagiarism. If you don't exercise your power, go to the market on the right and buy the underlying stock to copy the bottom.
Let's see a rebound of 95 for now, unless there are any black swans.
Today's stock debt is bloody. The CNN Fear Greed Index fell below 20 and is currently 17. The market is extremely fearful.
If meat is cut or shorted at this time, it is likely that it will be harvested. The warehouse can be exchanged. I sold half of my energy stocks and stopped losing half $American Airlines(AAL.US$ , I'm considering what to switch to. I haven't thought about it yet.
presently $UnitedHealth(UNH.US$ as well $Consumer Staples Select Sector SPDR Fund(XLP.US$ The position is already very heavy, and TLT has been added to the bond side...
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$Advanced Micro Devices(AMD.US$ Your older brother is so strong that he can't even take you?
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$Tesla(TSLA.US$ What is Tesla's next support level? Are there any professional gods to analyze
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$ASML Holding(ASML.US$ There is a 90% chance that it will break the position, a 5-10% drop, so be prepared for the money to take over.
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差多少 : There is no need for technology; negative news is an opportunity to increase positions