三月最后的三周又亏-2052.94。关键的损失在于3-16的2200股bgz,尽管后几个星期尽量在减小损失,可还是没能扭亏为盈。因为日本核电的消息,下了不小一注,看来决定很错误,后果很严重。唯一能让我感到欣慰的是在之后的交易中,我主要以小量交易为主(200股左右),大部分人现金没有动,也能把损失降到一半。其实我如果一直坚持这么交易,本月该是正的盈利。四月的交易,应继续以200股交易为主,不再会在某个交易上下大注了。现金闲着没关系,要克服有现金就想买点什么的坏习惯。
03-16
| Bought 2200 BGZ @ 40.31
|
|
|
03-21
| Sold 2200 BGZ @ 38.5812 |
| -3813.36
|
03-17 | Bought 200 ADSK @ 39.1
|
|
|
03-17 | Sold 200 ADSK @ 38.56
|
| -110
|
04-01 | Bought 200 BGZ @ 35
| 7,001 |
|
03-18 | Bought 200 CA @ 23.21
|
|
|
03-18 | Sold 200 CA @ 22.87
|
| -70
|
03-28 | Bought 200 CSCO @ 17.35
|
|
|
03-31 | Sold 200 CSCO @ 17.32
|
| -8
|
03-28 | Bought 200 DD @ 54.145
|
|
|
04-01
| Sold 200 DD @ 55.19
|
| +207 |
03-21 | Bought 340 DDM @ 58.6
|
|
|
03-28
| Sold 340 DDM @ 61.02 |
| +819.4
|
03-28 | Bought 200 DIS @ 43.15
| 8,631 |
|
03-31 | Bought 200 DUG @ 26.17
| 5,235 |
|
03-18 | Sold 1086 DXD @ 19.12 |
| +695.04
|
03-30 | Bought 200 FAS @ 30.15
| 6,031 |
|
03-18 | Bought 200 FXI @ 41.94
|
|
|
03-28 | Sold 200 FXI @ 43.34 |
|
|
03-31 | Bought 200 FXI @ 44.5 |
|
|
04-01 | Sold 200 FXI @ 45.54 |
| +484
|
03-28 | Bought 200 GE @ 19.82 | 3,965 |
|
03-28 | Bought 200 INTC @ 20.44 | 4,089 |
|
03-29 | Bought 200 KFT @ 31.27
|
|
|
04-01 | Sold 200 KFT @ 31.46
|
| +36
|
03-29 | Bought 200 MCD @ 75.0407 | 15,009.14 |
|
03-29 | Bought 200 MRK @ 32.46
|
|
|
04-01 | Sold 200 MRK @ 33.04
|
| +114
|
03-28 | Bought 200 MSFT @ 25.67
|
|
|
04-01 | Sold 200 MSFT @ 25.53
|
| -30 |
03-18 | Bought 350 QID @ 55.35
|
|
|
03-24 | Sold 350 QID @ 53.46 |
| -665
|
04-01 | Bought 200 SDS @ 20.65
| 4,131 |
|
03-18 | Bought 200 SKF @ 59.15
|
|
|
03-21 | Sold 200 SKF @ 57.78
|
| -276 |
03-15 | Sold 598 SPXU @ 17.69 | 10575.63
| +603.98
|
04-01 | Bought 200 SPXU @ 15.62
| 3,125 |
|
03-29 | Bought 200 TRV @ 58.6
|
|
|
04-01 | Sold 200 TRV @ 59.77
|
| +232
|
03-18 | Bought 200 TWM @ 47.4
|
|
|
03-21 | Sold 200 TWM @ 46.05 |
| -272 |