Saturday, September 5, 2020

What I am doing

On Friday's market opening I sold all my trading portfolio at a small profit.  Think the correction will be short and sharp, maybe 2-4 weeks.  Sharp enough that I don't want to sit through it.  It is not a liquidity event like March, but the market was too frothy - some RobinHoodies and a big options-buying whale need to be cleared out first.

For the trading portfolio, I look to buy back copper, oil ad gold miners.  Plus maybe a US housing stock.

I kept my investment portfolio holdings, look to add Ascendas India Trust.  Hong Kong Land also looks interesting.


1 comment:

Persona Cataclysm said...

Very nice bllog you have here