群組
已翻譯
由於賣掉,2022 年很糟糕。在當前情緒中,難以反彈。鮑威爾的目標是推動市場下跌。然而,有些部門具有彈性且持續上升趨勢,例如價值股票。得到的教訓是足夠多元化,採用槓鈴策略。風險資產呈紅色,但我的現金富有低風險股票表現良好,而股息還高於美聯儲利率。
已翻譯
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simpler user interface where the most used features can be easily found. most used would be checking portfolio, watchlist, see 13F Holdings, news in general and news for specific stocks
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2022 was a roller coaster ride. even well performing commodities like oil has been going down. not giving 2023 any high hopes as the narrative now has shifted from high interest rate to possible recession. some say eu already in recession...
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