最近portfolio漲了15%,很大程度得益於GILD, Intc, COST, T, VZ, BP COST的強勢。
Reccent strategy:
KEEP holding GILD, Intc, COST, T, VZ, BP COST
Buying GE, LB
Watching QCOM, SBUX, TWTR, SNAP,ALSN, TSLA, and FIT
TSLA
https://www.tradingview.com/chart/TSLA/5caStSd5-second-leg/
bp
https://www.tradingview.com/chart/Ziw0OuTC/
sold KR, earned 8%
https://www.tradingview.com/chart/KR/sYbDEytM-sell-to-gain-profit/
gild
https://www.tradingview.com/chart/GILD/Yj8HyD9m-gild/
GNC following
https://www.tradingview.com/chart/GNC/BFOLeiTH-g/
SBUX
https://www.tradingview.com/chart/SBUX/Pl4mYHZl-SBUX/
TWTR
https://www.tradingview.com/chart/TWTR/fD4m6n4F-twtr/
URBN
https://www.tradingview.com/chart/URBN/5qCeG3r5-URBN/
Reference:
Long COST LB GE T QCOM DIS, watch XLE ASHR VZ
(2017-07-19 15:01:24)
http://blog.wenxuecity.com/myblog/71709/201707/22162.html
不過幸虧昨天er前賣掉了KR股票換成option,準備buy KR back。
若在20.5有反彈,那麽將立即買回,這樣幾次操作下來的成本將為20.5-2-1.5=17.
長持的心理壓力將會很小。類似於我的GILD(長倉成本為55左右)。
【 在 hobite (紅葉瘋了) 的大作中提到: 】
: 當然探一下,收高也是可能的。設個釣魚單。
[版麵:股海弄潮][首篇作者:hobite] , 2017年08月17日16:18:15
https://www.tradingview.com/chart/SPX500/vg7Cmv3a-s/
明天會反彈。100ma 在2120 會有支撐,下周會到。
虧損後補買了call @35 at 0.6, sold at 2.47.
bought URBN
The adjustment to support would be either 73 or 71. Maximum pain at 73.
https://www.tradingview.com/chart/GILD/uSyF8O50-h/
Do not Play with it, hold tight!