I started a 500 share position last week and planned to add as I believed $300-305 was the bottom. Target is $348. Good company, dividend increase, blow out earnings report!
手動結束交易
Closed the position Friday at $324.60. I don't like this market and believe we are close to an economic collapse. Other than GOLD or OIL stocks I will be reluctant to go long unless I see extreme oversold conditions to play for bounces. The Ukraine unprovoked invasion on a sovereign country will reverberate throughout the world. Things have gotten out of hand, Putin is a POS EVIL lowlife who cares about no one. I fear he is being made a fool of, isolated and will do the unthinkable soon. I hope and pray for the sake of humanity he is taken out by the Russians and ASAP!!!!!!.註釋
I am currently short OIL. It's overdone in the near term.免責聲明
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免責聲明
這些資訊和出版物並非旨在提供,也不構成TradingView提供或認可的任何形式的財務、投資、交易或其他類型的建議或推薦。請閱讀使用條款以了解更多資訊。
