星期二, 6月 30

風高

沽出:
中石油8.63085718000155,340
宏利145.409451700247,180
中國通信3.89055242000163,380
買入:
恆生H ETF131.928283000395,700
鞍鋼5.350347400021,400
中海油田12.32288312000147,840
佣金3,393
現金變動-2,433
現金1,088
名稱最後 代號股數買入價 交易日總價 利潤 百分比
1惠理12.240806500004.2711/8/12612,000398,500187%
2中材股份2.521893.hk770001.8614/1/30194,04050,65835%
3海田服務12.322883.hk2200014.0015/6/30271,040-36,960-12%
4重慶機電1.632722.hk1200000.9613/9/30195,60080,40070%
5中交建11.561800310005.2214/6/30358,360196,540121%
6經濟日報1.9004231060001.6714/11/28201,40024,38014%
7招商基金18.6001332400011.8114/3/31446,400163,08058%
8洛陽鉬業5.723993460003.2314/3/31263,120114,77077%
9民航信息11.400696360004.4211/8/19410,400251,280158%
10恆生 H ETF131.9028283000131.9015/6/30395,70000%
11鞍鋼5.350347460004.3915/6/30246,10044,16022%
股票總價3,594,1601,286,80856%
現金1,088
05/5/2715/6/30總額3,595,248總利潤 260%
恆指13,71526,250恆指回報 91%

呢兩日都去到 3900 點大位, 都無預跌得咁狠, 但到位都係要做嘢, 點知會否周末大爆炸, 個時頂多再轉去更高風險而已, 都係博跟住既大浪, 雖則今次都要死一大浸新人先. 945 同通信想走好耐, 係大跌初段都係以溝指數為主, 所以都係轉去 H 指先. 到真係恐慌時揀股仔同高風險都未遲.

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