正文

炒股日記 3/14 - 4/1

(2011-04-03 19:54:08) 下一個
三月最後的三周又虧-2052.94。關鍵的損失在於3-16的2200股bgz,盡管後幾個星期盡量在減小損失,可還是沒能扭虧為盈。因為日本核電的消息,下了不小一注,看來決定很錯誤,後果很嚴重。唯一能讓我感到欣慰的是在之後的交易中,我主要以小量交易為主(200股左右),大部分人現金沒有動,也能把損失降到一半。其實我如果一直堅持這麽交易,本月該是正的盈利。四月的交易,應繼續以200股交易為主,不再會在某個交易上下大注了。現金閑著沒關係,要克服有現金就想買點什麽的壞習慣。
03-16
Bought 2200 BGZ @ 40.31


03-21
Sold 2200 BGZ @ 38.5812
-3813.36
03-17Bought 200 ADSK @ 39.1


03-17Sold 200 ADSK @ 38.56

-110
04-01Bought 200 BGZ @ 35
7,001
03-18Bought 200 CA @ 23.21


03-18Sold 200 CA @ 22.87

-70
03-28Bought 200 CSCO @ 17.35


03-31Sold 200 CSCO @ 17.32

-8
03-28Bought 200 DD @ 54.145


04-01
Sold 200 DD @ 55.19

+207
03-21Bought 340 DDM @ 58.6


03-28
Sold 340 DDM @ 61.02
+819.4
03-28Bought 200 DIS @ 43.15
8,631
03-31Bought 200 DUG @ 26.17
5,235
03-18Sold 1086 DXD @ 19.12
+695.04
03-30Bought 200 FAS @ 30.15
6,031
03-18Bought 200 FXI @ 41.94


03-28Sold 200 FXI @ 43.34

03-31Bought 200 FXI @ 44.5

04-01Sold 200 FXI @ 45.54
+484
03-28Bought 200 GE @ 19.823,965
03-28Bought 200 INTC @ 20.444,089
03-29Bought 200 KFT @ 31.27


04-01Sold 200 KFT @ 31.46

+36
03-29Bought 200 MCD @ 75.040715,009.14
03-29Bought 200 MRK @ 32.46


04-01Sold 200 MRK @ 33.04

+114
03-28Bought 200 MSFT @ 25.67


04-01Sold 200 MSFT @ 25.53

-30
03-18Bought 350 QID @ 55.35


03-24Sold 350 QID @ 53.46
-665
04-01Bought 200 SDS @ 20.65
4,131
03-18Bought 200 SKF @ 59.15


03-21Sold 200 SKF @ 57.78

-276
03-15Sold 598 SPXU @ 17.6910575.63
+603.98
04-01Bought 200 SPXU @ 15.62
3,125
03-29Bought 200 TRV @ 58.6


04-01Sold 200 TRV @ 59.77

+232
03-18Bought 200 TWM @ 47.4


03-21Sold 200 TWM @ 46.05
-272
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