122.04BMarket Cap51.49P/E (TTM)
376.000High372.640Low1.45MVolume373.210Open376.150Pre Close543.05MTurnover0.45%Turnover Ratio51.49P/E (Static)325.60MShares380.84052wk High23.61P/B119.80BFloat Cap233.80952wk Low--Dividend TTM319.60MShs Float380.840Historical High--Div YieldTTM0.89%Amplitude13.027Historical Low374.526Avg Price1Lot Size
102362254 : Thank you for sharing your story. I’m curious - As a young investor, how do you view the use of leverage in your strategy, and what factors do you consider when deciding how much risk to take on?
Lazy Cat Invests : Thanks for your inspirational sharing. I would like to know if there are any specific rationale for your setting of stop loss at about 5-7%?
104658105 : Hank good evening
mr_cashcow : Thanks for sharing! Would like to know how u determine when to take profit and usually how many %?
SpeedyStud 102362254 : My stop-loss strategy typically varies depending on the stock. It can range from 5-8%, influenced by factors like volatility, news, trend lines, and sometimes analyst ratings. Each stock is different, so I adjust accordingly. Additionally, I consider my belief in the company—if I trust in what they are doing and understand their offerings, I may factor that into my decision-making process as well
View more comments...