2009年2月1日 星期日

選擇關鍵美股度過二月操作難題 (Select key US Stock On Feb)



    由於,美股下週仍然振盪盤詰低檔,選擇強勢持續穫利成長之公司進入投資組合,有助於低檔背離與財報發表後進場操作;基本上,我選擇 IBM、Google、Amazon、Apple、Exxon Mobil 十二月份營收成長、持續穫利、線形較佳與財務良好,因為我不希望有突發大利空之股票,這樣就可以防守。
所有測試 Google Spreadsheet, Google Finance API 與 Google Web computing server 之表格, 屬於 自己投資與Web computing 計劃之參考, 請勿當成投資之參考, 更勿複製也不可用於交易目的或諮詢!
    技術圖如下,參考 Yahoo Finance (每天自動更新)。

    Due to US stock will face the vibration and go down trend in this week, so I selected IBM, Google, Amazon, Apple and Exxon Mobile as safe investment set to gain earning investment point in next lower bound; You can refer to technical chart as below, it will update from Yahoo finance each day thanks to Yahoo.













DDM, DXD ETF show DOW trend (DDM, DXD ETF 看出趨勢)

From 投資評論2008/2 ~ 2009

From 投資評論2008/2 ~ 2009


   DDM 、DXD 是做多與做空 DOW30 之ETF,DOW30 投資比率主要成份股
  1. IBM: 6.34%
  2. Exxon Mobil Corp: 6.23%
  3. Chevron Corp: 6.14%
  4. 3M Co: 5.20%
  5. Procter and Gamble Co: 5.0%
  6. McDonald's Corp: 4.56%
  7. Johnson & Johnson: 4.55%
  8. Wal-Mart Stores Inc: 4.34%
  9. United Technologies Corp: 3.77%

    它們顯示 DOW 面臨之壓力與挑戰,振盪緩慢走低等待個公司一月份營收穫利數據是下週走勢,任何Obama利多政策也只能反應一日行情。以下是我常用之DOW三個月指標, Yahoo Finance 提供技術指標 (每日自動更新)。



2009年1月31日 星期六

2009 2月份 ETF 投資操作模擬 2 (2009 Feb ETF Investment simulation 2)




 
    After last week of Jan 2009, we found that only one day surging up on Dow and US stock to reflecte the new events that "Obama's bad bank idea" to secure the finance credit issue in those US banks, this is a terrible situaion, it means the full market focus on jobless rate and economic growth rate relative report with data; so it made me to has some other selection for Feb as back up ETF set 2 to replace some ETF in ETF set 1 already need to put "no investment" in next week to avoid to explore the investment into high risk;

    New selection Feb/2009 ETF set 2 is used to back up Feb/2009 ETF set 1, if some ETF already suggested in "SELL" state, for example, we can replace SZK with DBC in the situation of DBC drop below its support. We refered to both page A and B investmnet stratgey.

    由於美國經濟數據非常差,加上Obama『壞銀行』並無法解決資產下跌與經濟衰退之問題,以『利空持續,利多出盡』一日上漲行情來結束,大家開始關心持續失業率、公司穫利營收及經濟數據,所以,預備數個放空型ETF來操作,以解決DBC, DIG, SKF於“2009 Feb ETF Set 1”賣出狀態,下週操作難度較高,美股多方仍然有企圖心,但DOW 8220 ~ 8162 壓力不輕且趨勢往下,應該仍然屬於振盪走低行情。

    所有測試 Google Spreadsheet, Google Finance API 與 Google Web computing server 之表格, 屬於 自己投資與Web computing 計劃之參考, 請勿當成投資之參考, 更勿複製也不可用於交易目的或諮詢!