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Prediction And Sharing Of Shares And Stock Market In Hong Kong

Prediction And Sharing Of Shares And Stock Market In Hong Kong. 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Tuesday, May 12, 2015. 港股受外圍拖累下,恒指尾段最多跌322點,低見27395,收市報27407,跌311點或1.1%,留意10天線(27849點)正有跌穿20天線(27813點)之勢,或形成「死亡交叉」利淡訊號,恒指於4月27日見高位28588後 有機會形成頭肩頂的派發形態. The portfolio duplex return rate rose 31.7% from January 2010 to May 2015). Tuesday, May 12, 2015.

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Prediction And Sharing Of Shares And Stock Market In Hong Kong | anthonycheungroche2.blogspot.com Reviews
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Prediction And Sharing Of Shares And Stock Market In Hong Kong. 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Tuesday, May 12, 2015. 港股受外圍拖累下,恒指尾段最多跌322點,低見27395,收市報27407,跌311點或1.1%,留意10天線(27849點)正有跌穿20天線(27813點)之勢,或形成「死亡交叉」利淡訊號,恒指於4月27日見高位28588後 有機會形成頭肩頂的派發形態. The portfolio duplex return rate rose 31.7% from January 2010 to May 2015). Tuesday, May 12, 2015.
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3 觀點,不作參考,本人並不能確保完全正確無誤
4 筆者持有上述股票,惟亦可能隨時沽岀,不會事前發出知會
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Prediction And Sharing Of Shares And Stock Market In Hong Kong | anthonycheungroche2.blogspot.com Reviews

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Prediction And Sharing Of Shares And Stock Market In Hong Kong. 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Tuesday, May 12, 2015. 港股受外圍拖累下,恒指尾段最多跌322點,低見27395,收市報27407,跌311點或1.1%,留意10天線(27849點)正有跌穿20天線(27813點)之勢,或形成「死亡交叉」利淡訊號,恒指於4月27日見高位28588後 有機會形成頭肩頂的派發形態. The portfolio duplex return rate rose 31.7% from January 2010 to May 2015). Tuesday, May 12, 2015.

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Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享) : (372) 5月11日的投資組合持貨

http://anthonycheungroche2.blogspot.com/2015/05/372-511.html

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享). 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Monday, 11 May 2015. 恒生指數升140點或0.51%,成交1309.7億元,比上個交易日少81.64億元,超過一個月以來最低。國企指數收報14182點,升133點或0.95%。 今天於$42.70買入2,500股瑞聲科技(2018)及於1.68沽出十萬股鴻寶資源(1131),5月11日的投資組合 YTD暫時回報 28.43%,恆指回報 16.18%。 65292;後果自負!一概與本人無涉,敬請讀者留意。 Posted by Yee Gor Gwan.

2

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享) : (367) 去年八月已預測此浪是進行爆炸性的第三浪(更新)。

http://anthonycheungroche2.blogspot.com/2015/04/367.html

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享). 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Wednesday, 8 April 2015. Http:/ anthonycheungroche2.blogspot.hk/2014 08 01 archive.html. Tuesday, August 19, 2014. 1) 10676- 24988 = 14312. 2) 24988- 16170 = 8818 (14312 X 0.616). 3) 16170- 30482 = 16170 [1 X (14312)]. 1) PE ratio 10 or 12.

3

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享) : 01/03/14 - 01/04/14

http://anthonycheungroche2.blogspot.com/2014_03_01_archive.html

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享). 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Friday, 21 March 2014. 今天投資組合沽出酷派集團(2369)和華電福新(816),此外買入晨鳴紙業(1812),YTD暫時回報 3.39%,恆指回報-8.15%。 The portfolio duplex return rate rose 41.4% from January 2010 to December 2013.). 股息: 港元 0.0250. 的股票,市盈率一般會較高;預期增長較高的股票,市. Posted by Yee Gor Gwan.

4

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享) : (373) 暫時獲利離場

http://anthonycheungroche2.blogspot.com/2015/05/373.html

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享). 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Tuesday, 12 May 2015. 牽渉4萬6仟多億的累積成交,恆指從23605升至28588已有4986點波幅 ,2014年的整年波幅是3211點,所以現在已滿足了全年的波幅要求 ). The portfolio duplex return rate rose 31.7% from January 2010 to May 2015). 65292;後果自負!一概與本人無涉,敬請讀者留意。 Posted by Yee Gor Gwan. 2) PEG ratio 1.

5

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享) : (368) 4月13日投資組合持貨

http://anthonycheungroche2.blogspot.com/2015/04/368-413.html

Prediction And Sharing Of Shares And Stock Market In Hong Kong(股市預測與分享). 12302;In the long run, the stock trading price reflects its real value; the fluctuation of short-term price reflects small changes in supply and demand, those changes are randomly unpredictable.』. Monday, 13 April 2015. 人民幣 00382(相當於港元0.0481). Posted by Yee Gor Gwan. Monday, April 13, 2015. View my complete profile. 1) PE ratio 10 or 12. 2) PEG ratio 1. 3) Price to Sales Ratio (PSR) 1. 4) Return on Equity (%) 15%. 大家口口聲聲都是新經濟&#65292...

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分析員的告白: 五月 2012

http://albertanalyst.blogspot.com/2012_05_01_archive.html

萬法歸一 ,股海唯心至上,到頭來無一法可得,亦無甚麽可失. 投機、投資、或中短線交易,只要方法得當,則殊途同歸,並無對錯之分. 星期五, 5月 18, 2012. 自5月3日21,249計,恆指於不足三個星期大跌超過2,600點,星期五(5月18日)低見18,622點。然而,下午市況從低位反彈330點收報18,951點。 希臘可能離開歐羅區、環球經濟向下等風險是不爭的事實,但市場的韻律卻是另一回事。 嚴重的超賣(oversold)以及大眾情緒十分悲觀(不少人相信還有終極一跌),可能是暗示中期反彈之來臨。 無論如何,中線反彈可能不會太持久,但總是提供交易的機會。相對二三線股而言,大市值的實力股之反彈力度可能較強。 訂閱: 文章 (Atom). My Cup of Tea. Wing Investment Blog(Wing 兄). Emerging Markets: Not All The Same. Discounted Cash Flow (DCF). 柏拉圖的洞穴囚犯 / 精神病院的唯一正常人 / 井底的青蛙. 兩個比諭,同樣形容相似的情境 1) 古希臘哲學家柏拉圖(Plato)曾經以...

agblogblog.blogspot.com agblogblog.blogspot.com

AG投資手記: 七月 2013

http://agblogblog.blogspot.com/2013_07_01_archive.html

24 July 2013 - 下注趨勢. 不經不覺已經有四個多月沒有寫網誌,這段期間經歷了六月份的恐慌性拋售,不少財散大叫小心跌穿重要支持位 (約 19300 點), 各個散戶 (包括自己) 還在猶疑之間,恒指已經慢慢由低位反彈至今累積超過 2000 點,如果在下跌時止蝕離場 (正確的做法) ,減少了損失。 而當反彈開始時買入,相信應能深深體會投資市場所謂的有危便有機的道理,但能做到以上者又有幾人呢? 手上持股經歷了上述的大波動後, 變得保守且以中線為主,調整後以下注趨勢作為重要主題。 燃氣板塊 : #2688 新奧 , #1193 華潤燃氣. 燃氣相關 : #3899 中集科. 外資保險板塊 : #1299 友邦, #945 宏利. 電力板塊: #2380 中國電力,#579 京能. 其他 : #669 創科, #8008 新意網,#836 (小量短炒). 其餘持股都是以清潔能源及國內長線的能源政策作為下注的基礎, 以中線角度應能慢慢跑嬴大市。 訂閱: 文章 (Atom). 3 Dec 2016 - [香港八十前] 東方報業(18)及經濟日報(423)財務分析數據. 2016 年圖表分析篇 - SM.

agblogblog.blogspot.com agblogblog.blogspot.com

AG投資手記: 十月 2012

http://agblogblog.blogspot.com/2012_10_01_archive.html

27 Oct 2012 - 難測. 測度股市可以說是沒有可能的事,八成的投資者最終都是輸錢收場,而可幸的兩成投資者以其所獲得的資訊,股市操盤的經驗,制定合適的策略以及嚴格執行其所定的操作方法,才能令其有所得著。 上星期自己買入了不少高風險的股票,星期一、二美國連續兩天急跌,自己已興幸港股超強,朋友來電說看好後市,自己大感不妙,因為該朋友長期看淡股市,即管沒有沽空也不買入任何股份只是不停唱淡,特然大唱反調。 結果週四、五二、三線的股份由這次升浪的中期頂部調整有的達15%以上,若在頂位入貨,殺傷力可想而知。 星期五沽走了三隻高風險沽,其中兩隻止蝕,一隻止賺結果打和。 52,101,669,1193,603,435。 當中的 101 及669 是相對高風險. 2823,6030,2866。 港府作出新調控,下星期香港地產可能不妙,可幸組合中的101以收租為主,唯一其收入超過50%來自大陸。 網上有一段其主席的言論,很有啓發性! 21 Oct 2012 - 提升風險組合. 52,#1193,#669,#603,#435,#101. 6030,#2823,#2866,. 訂閱: 文章 (Atom).

pangsiu.blogspot.com pangsiu.blogspot.com

pangsiu: 九月 2013

http://pangsiu.blogspot.com/2013_09_01_archive.html

月後另一次小敗。今年的確較難搵食,散戶參與度低我相信是主要原因。 月初開始轉為睇好大市,目前看法沒有改變,但會時刻留意市況的變化。 左右(唔計息),穩定回報的股票繼續受到市場拋售. 都是my cup of tea. 65292;夢想可以藉此得到財務自由是件十分危險的事。做好風險管理,作適當的資產配置才是長遠成功之道。 網誌備份,過去的由他過去好了。除了偶然提及舊文要查証外,幾乎從不翻看自己的「大作」,有些東西今天回看會面紅。憑記憶,有兩件事我印象較深。一是自己唯一一隻做了較詳盡分析的股票維維他奶,至今升了. 訂閱。可能他們覺得筆者無料唔識野,無謂浪費時間再看下去吧!口岩聽的就係真理,唔口岩聽就當係歪理,一般人只是. 掉,Yahoo blog停業,正好助我. 訂閱: 文章 (Atom). RealBlog - Feed - 有道德搶劫- 味皇. 19 Nov 16 - 華潤燃氣(1193) 中期業績. Prediction And Sharing Of Shares And Stock Market In Hong Kong. 2016 年圖表分析篇 - SM.

albertanalyst.blogspot.com albertanalyst.blogspot.com

分析員的告白: 美元嚴重超買,未來3個月市况偏穩

http://albertanalyst.blogspot.com/2011/12/3.html

萬法歸一 ,股海唯心至上,到頭來無一法可得,亦無甚麽可失. 投機、投資、或中短線交易,只要方法得當,則殊途同歸,並無對錯之分. 星期六, 12月 17, 2011. 經歷8月和9月份的大跌市,再加上市場自11月起開始喪失動力,現時不少基金經理和散戶猶如驚弓之鳥般,投資策略漸趨保守。 其中一個有力証據是美元、美國公債已成環球投資者的喜好。諷刺的是2011年初投資者當時最不喜歡的反而是美元。換句說話,未來數月的市況反而相對穩定。現時Dollar Index已回升80點子樓上,相對今年低位73-74點左右。 除了公用、電訊、中下游能源股外,現時筆者反而對中高檔次的消費股具一定的信心,至少有Range trading的潛力,足以揾食。 高檔次的消費股的問題當然是中國中產以及富有一族減少消費名牌手錶、服裝、手袋等等,導致2011年下半年以及2012年增長減速。 然而,重點並非高檔次消費放緩何時完結,而是投資者對行業增長的看法變得十分悲觀(但9月份之前幾乎所有投資者對高檔次消費概念股抱200%的信心),因此現時不妨玩一下。 阿爾伯特兄, 祝聖誕快樂, 新年進步! 敬祝龍年 萬事勝意, 龍馬精神, 財源廣進!

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分析員的告白: 2012年年初反彈可能已完

http://albertanalyst.blogspot.com/2012/02/2012.html

萬法歸一 ,股海唯心至上,到頭來無一法可得,亦無甚麽可失. 投機、投資、或中短線交易,只要方法得當,則殊途同歸,並無對錯之分. 星期四, 2月 09, 2012. 僅短短於一兩個月的時間,恆指已反彈約14%(從18,400至21,000)。有趣的是,2012年年初大部份人看淡,甚至當時有人指出金磚四國已死。到了近排,市場情緒180度大變,幾乎每一個人都談著要"追貨"。 筆者不是否定大市升至23,000, 甚至25,000的機會,但問題是:. My vote is 持盈保泰 now. 12304;Gwan I Go】. A lot of c-nine in bank now! Dream, Gwan I Go, 一笑之:. 有一定的機會大市接近中期頂部, 但隨之是上落市還是2011年8/9月跌市翻版, 現時無法估計. 訂閱: 發佈留言 (Atom). My Cup of Tea. Wing Investment Blog(Wing 兄). Emerging Markets: Not All The Same. Discounted Cash Flow (DCF). 兩個比諭,同樣形容相似的情...

albertanalyst.blogspot.com albertanalyst.blogspot.com

分析員的告白: 六月 2011

http://albertanalyst.blogspot.com/2011_06_01_archive.html

萬法歸一 ,股海唯心至上,到頭來無一法可得,亦無甚麽可失. 投機、投資、或中短線交易,只要方法得當,則殊途同歸,並無對錯之分. 星期四, 6月 30, 2011. 雖則受制於原材料大升及減價等問題,但長線前景不俗,近多個月的沽售亦有點過了火位。配合內線人近星期買貨,不妨考慮醫藥股,如四環醫藥(460), 聯邦制藥(3933), 廣州藥業(874)等等。 星期六, 6月 11, 2011. 近月少了留意股市,近數月以高息公用股、領匯(823)、黃金ETF(2840)和現金為主的投資策略(當然還有其他二線股票)還算表現不俗。 自三月的日本大地震、中東政局不穩定的、通脹壓力、以及近數星期的市場波動,令筆者對黃金這一避險貴金屬的信心增加。若果市場認為美國和日本仍維持放寬Monetary Policy, 而歐貸危機影響歐羅區的經濟表現,而工業用商品價格亦可能受需求減低而受壓,那麼黃金的價值便有可能上升(越亂就越對黃金有利)。 在股價大跌後,於眾二三線股票中"尋寶"是可行的,不過宜小心挑選優質股。 訂閱: 文章 (Atom). My Cup of Tea. Wing Investment Blog(Wing 兄).

pangsiu.blogspot.com pangsiu.blogspot.com

pangsiu: 八月 2012

http://pangsiu.blogspot.com/2012_08_01_archive.html

之下未能在金牌得主李雪芮身上取得一局,心理質素應該是關鍵。葉經常在比賽中顯現急於求勝的毛病,之前一仗對法國皮紅艷時,第一局也出現很多. 65292;後來調整了比賽節奏才能把對手擊敗。單車隊教練沈金康為了不讓李慧詩受到外界騷擾,賽前拒絕一切媒體的訪問。免得她被炒作為奪牌希望,因而增加心理壓力。李最後能夠順利摘取銅牌,這個安排可能起了一定的作用。 的言論。見市升看好見市跌看淡,原是人之常情。假如我只靠主觀判斷去作出買賣決策,我早已像其他智者一樣,到處勸世人不要投機炒賣。單知道心理質素對投資成敗的重要性是完全沒有意義的,應建立具體的操作守則,才能避免自己受到市場情緒所控制。 訂閱: 文章 (Atom). RealBlog - Feed - 有道德搶劫- 味皇. 19 Nov 16 - 華潤燃氣(1193) 中期業績. Prediction And Sharing Of Shares And Stock Market In Hong Kong. 2016 年圖表分析篇 - SM. 友邦保險 - 「中國人不信中國人」帶來的商機. YOU'LL NEVER WALK ALONE.

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pangsiu: 九月 2012

http://pangsiu.blogspot.com/2012_09_01_archive.html

65292;直至失業率改善為止。無限這兩個字可能嚇得下人,不過對我來說它只代表說的人虛張聲勢,不敢拿一個實質數字出來,怕被人看清底牌而矣!唯一特別的地方是,這次講明即使經濟復甦了,仍會保持低息環境一段時間。所以經濟有冇得救我唔知,但一些能夠提供穩定高息的股票應該是不錯的選擇。 可能從指數看港股近期升幅還算不錯,但升勢只集中在少數權重股,與國內經濟息息相關的股票,大都未見起色。目前. 股來個反高潮也是合情合理的。不過只要股市不是崩盤式下跌,懂得選股的朋友還是有生存空間的。 暫時淡倉仍有微利,但周一就很難說。上次說過成交少、參與的人少,短炒變得艱難。所以這次做淡,我是刻意降低了原定的倉位。可惜這樣的改變並不能令我得益。因為買得少了,在回吐的時候卻嫌持貨太少,又特意減低了回吐的份額,否則現在已穩坐釣魚船。投資人總是在所有可以犯錯的地方犯錯,我也不例外。 個人入議會。投資都一樣,注碼運用十分重要。 左右的利潤,但由於那段時間碰上短線指標失效,以至未能把握到這些利潤。 65289;、中銀(. 65289;、筆克遠東(. Long term economic moat. 訂閱: 文章 (Atom).

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