Current plan: 19/11/20

1) Shift from etoro to tiger

2) BUY 

AAPL@ 98, Before 21 Dec 20 BUY: $Tesla Motors(TSLA)$400, $Vanguard S&P 500 ETF(VOO)$300, $Tencent(00700)$545.

Will speculate and wait on MRNA news on EUA to decide on buying.

BUY: NOK @ 3.50

Weekly stack on O KO SPHD

3) SELL 

PFE &AZN at 100 profit. Even that they are hitting on news, still not volitile to have any significant movement. Have a diverse product so risk is spread across if COVID vaccine is not successful.

4) HOLD 

NOK- high potential when 5G kicks in. Will be staking in. O- mthly CD, KO & SPHD- 10q CD. Shitty about withholding tax at 30% but better than nothing.

C6L O39 1B0 will be holding for the next 4years (2024) will be taking CD instead if any offer arise. 

免责声明:上述内容仅代表发帖人个人观点,不构成本平台的任何投资建议。

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