Saturday, November 3, 2007

转个秋老大的帖

My short list:AAPL/GOOG/RIMM/AMZN/EDU/ISRG/DRYS/GRMN/CME/NYX/BIDUYes, I short everything above upper BB, except ADR names related to PTRMy long list:KBH/USG/TOL/C/WFR/GS/BSC/LEH/CAT/AIG/ACH/LDK/RCH/PTR/SNP/CEO/NTES/FFIV/ATHN/COP/HNP/SBUX/MPEL/LFTYes, I buy everything sitting near 200EMA or below lower BB, and hold until they move back to upper BB for sell…I am very patient, and as long as I believe what I have is a solid company…I can hold until it gives me a nice profit…1 year… or 5 year… what ever works for me…I only do profit taking… never cut my legs… this is the way how option works… the money I initially put in is the max risk I am facing…The one you think is a trash… I pick it up, and hold wait until it shining again; when everyone else is chasing those trash I picked up a while back… I sell those, and searching for the new trashes you guys are dumping…today,then sell them back to you when they are shining again…Haha… I am not a HH, just an ugly trash pick-up guy wondering outside of your house and searching jewelries in you guys’ trash cans…Most people does throw out their treasures when they are in a bad mood…

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