The long term portfolio had increase cash level in last two week and hold some high dividend stock and 1 reverse ETF.
Short portfolio closed many stock position and hold 17,552,1818, 1883 and bear for capital gain.
For USD short term portfolio, close a lot long position include Apple, Micron, Workday........and hold utilities and DLR, QQQ is trapped in Friday😭😭😭.
Hedging includes SPY put, SDOW, VIX etf, SCO, JP225 reverse ETF, japan utilities and tokyu corp
No comments:
Post a Comment