股市自從係3月個谷底反彈到接近30%.....
最近都清左幾隻ETD 同Bonds同所有美股....
剩番SG Reits, 油公司Preferred Share, WPG bond 同CEF
| Portfolio | Industry | Type | Quantity |
| | | |
| WPG 5.95% 15AUG2024 | REITS | Bonds | 100 |
| JYEU.SI | REITS | SG REITS | 5000 |
| AW9U.SI | REITS | SG REITS | 5900 |
| RW0U.SI | REITS | SG REITS | 5000 |
| | | |
| NSS | Pipelines/Energy | ETD | 350 |
| ALIN-E | Transport | Preferred Share | 500 |
| F-B | Auto Manufacturing | Preferred Share | 50 |
| GLOP-B | Transport | Preferred Share | 500 |
| QVCC | Retail | ETD | 100 |
| RQI | Private Equity | CEF | 400 |
\而家組合都升反返到around USD75K 仲輸緊30% (i.e. Unrealized Loss = 20K , realized loss : 13K )
但有種好強烈嘅感覺 係終極一跌仲未來臨....
Fed雖然有無限QE ,但一日疫情未解決,都係解決唔到根本問題
歐美冇人返工,公司點有收入? 美國人冇儲蓄集慣,失業嘅人點還債俾租?
加上石油戰全球大環境需求弱, ,骨牌效應陸續浮現........
股市仲未反映最worst scenario
根據08年經驗...VIX 係最高點around 3個月後....股市先出現最底點......就係骨牌效應慢慢出黎
而家最緊要趁反彈上黎就陸續走人....儲番下子彈....
目前Cash keep到30K USD
記住保持耐性 等終極一趺先再入番市!!
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