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 Fridayπππ.
Hedging includes SPY put, SDOW, VIX etf, SCO, JP225 reverse ETF, japan utilities and tokyu corp
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