I adjusted my position and the combination,$portfolio manager$The details of the position adjustment are as follows:
$GameStop (GME.US)$0% -> 15%
$Micron Technology (MU.US)$5.09% -> 1%
$Ebang International (EBON.US)$19.6% -> 10%
$GameStop (GME.US)$0% -> 15%
$Micron Technology (MU.US)$5.09% -> 1%
$Ebang International (EBON.US)$19.6% -> 10%
Translated
1
I adjusted my position and the combination,$portfolio manager$The details of the position adjustment are as follows:
$Apple (AAPL.US)$0% -> 18%
$Futu Holdings Ltd (FUTU.US)$0% -> 8%
$Apple (AAPL.US)$0% -> 18%
$Futu Holdings Ltd (FUTU.US)$0% -> 8%
Translated
2
1
I created the combination,$portfolio manager$The industry distribution is as follows, welcome to pay attention!
Computer: 32%
Internet and media: 10%
Electronics: 30%
Cars: 10%
Non-bank finance: 10%
Computer: 32%
Internet and media: 10%
Electronics: 30%
Cars: 10%
Non-bank finance: 10%
Translated