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Request to the server "redmonkeyblog.blogspot.com"
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website build using CSS

code weight: 295.65 KB

text per all code ratio: 25 %

title: 紅猴股評

description:

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encoding: UTF-8

language: en

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one word phrases repeated minimum three times

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B tags

投資組合自2005年12月14日成立日計至今回報:250%

紅猴旅遊「東歐六國之旅」

市場風險胃納仍在

牛熊變得均勢

 

中央緊縮政策效力續現

中央緊縮政策仍未可放鬆

近日股評

投資組合

(按一下下圖可放大)

投資組合自2005年12月14日成立日計至今回報:254%

恒指及國指拋離20天平均線

中線投資數天內由0%升至20%

買入股票簡釋

敢不敢買的問題

投資組合自2005年12月14日成立日計至今回報:248%

大市強勢隱現

馬後炮分析幫不上投資

美匯指數再度急跌

50天平均線加蟹貨區的阻力不易破

投資組合自2005年12月14日成立日計至今回報:246%

Facebook超過5,000個Fans,捐款$1,000

內銀股被挾淡倉,帶動大市上揚

中港消費及建材股

中央力保保障房進度

投資組合自2005年12月14日成立日計至今回報:241%

兩個好消息毫不實在

資金短期有重投風險投資項目之勢

留要內銀股會否繼和黃(13)後被挾淡倉

(註:如2011年10月9日股評所言,「此時無論買什麼股,要抱着股價仍會大幅下跌的準備,因不會止蝕(因股價波幅過大,若行止蝕很易因過多止蝕而輸大錢)亦需選擇優質、估值合理、長期能保持市場競爭力及最理想有高息率的股票。」所以投資者還要審視自己財務狀況是否仍有充足現金以作後盾,不然風險投資者需自己承受。)

恒生

(11)

的金融海嘯價在

$67

,去週跌至最低收

$84.65

,已跌至海嘯間低位徘徊數月的範圍。按資金流動牲,現時應仍比海嘯時佳,市場是否過份擔心公司所持的歐債會出問題?恒生

始終非匯豐

(5)

,業務非在歐美風眼。以

1997

年低位及

2009

年低位拉條線,

$75

會是很大的支持位,若投資者仍擔心現價

$92.75

支持不足,可留意

這較悲觀價位。樂觀看,於

2010

年徘徊最長的

$110

水平將成為上升阻力線。

和記黃埔

(13)

5

月於

$46

$60

間徘徊了

16

個月才突破上升,最高超過

$95

。上週正式跌穿

即引來公司於週四晚自辯,除李嘉誠及管理層明顯不滿股價低位外,亦藉機強力挾對沖基金淡倉以「洩憤」,未來回顧這或許是一個股市反彈的

Tipping Point

領匯

(823)

估值主要看息率,過往每年包括金融海嘯之年均有所增加,本地零售市道暫未轉壞,就算租金受壓調不上,仍有未改造商場資產增值作填補,保守點假設來年派息持平,現價

$25

計,息率仍有

4.4

厘;約市場能接受更低息率至

4

厘,股價便可升至

$27.6

。過去一年有

8

個月於

$24

間徘徊,若於此買入,上升幅度約

10

15%

,雖目標回報有限,但屬防守之選。當然股市非理性時亦可跌至極低價,以金融海嘯時最低價計,股價可跌至息率達

6.4

冇貨在手也是一種壓力

心不安凡事不成

不要自亂陣腳

環顧有否優質股可作長線投資

高企防守股亦有風險

投資策略不局限於「投資」(

「投資是公平的?」續篇)

投資組合自2005年12月14日成立日計至今回報:237%

外遊東歐十天回港

再開「紅猴旅遊」Blog

Facebook專頁達標捐款

恒指及國指最新阻力位

最新發展

盈富基金(2800)有3.27厘股息率

投資組合自2005年12月14日成立日計至今回報:245%

外遊東歐十天

Facebook專頁及微博達標將捐款

反彈將遇蟹貨一籮籮

投資組合自2005年12月14日成立日計至今回報:239%

盈富基金(2800)有3.2厘股息率

歐債最新發展

亞洲及香港不能幸免

投資組合自2005年12月14日成立日計至今回報:242%

投資組合自2005年12月14日成立日計至今回報:253%

投資是公平的?

「財經資訊」連結

港股比預期中弱

再闡釋投資組合的最新策略

投資組合自2005年12月14日成立日計至今回報:258%

大市簡評

牛熊莫辨

U tags

I tags

套用著名小說「動物農莊」的經典對白,

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15 Oct 2011 - 市場風險胃納仍在,牛熊變得均勢
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13 Oct 2011 - 這幾天買入之股票簡釋
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13 Oct 2011 - 50天平均線加蟹貨區的阻力不易破
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11 Oct 2011 - Facebook專頁的Fans數目突破5,000,捐款$1,000以示表謝意
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11 Oct 2011 - 資金短期有重投風險投資項目之勢
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10 Oct 2011 - 談恒生(11)、和記黃埔(13)及領匯(823)
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和記黃埔
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9 Oct 2011 - 環顧有否優質股可作長線投資
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8 Oct 2011 - 投資策略不局限於「投資」
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7 Oct 2011 - 恒指及國指最新阻力位
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27 Sep 2011 - Facebook專頁及微博達標將捐款
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4:25 PM
27 Sep 2011 - 盈富基金(2800)有3.2厘股息率
9:16 AM
25 Sep 2011 - 留意跌過籠優質股的反彈趨勢
10:35 PM
22 Sep 2011 - 繼續以策略為本作變動
9:51 PM
21 Sep 2011 - 投資是公平的?
9:55 PM
19 Sep 2011 - 再闡釋投資組合的最新策略
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17 Sep 2011 - 大市簡評。焉能辨市是牛熊!
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Home
Posts (Atom)
2011
October
15 Oct 2011 - 市場風險胃納仍在,牛熊變得均勢
13 Oct 2011 - 這幾天買入之股票簡釋
13 Oct 2011 - 50天平均線加蟹貨區的阻力不易破
11 Oct 2011 - Facebook專頁的Fans數目突破5,000,捐款$1,000以示表...
11 Oct 2011 - 資金短期有重投風險投資項目之勢
10 Oct 2011 - 談恒生(11)、和記黃埔(13)及領匯(823)
9 Oct 2011 - 環顧有否優質股可作長線投資
8 Oct 2011 - 投資策略不局限於「投資」
7 Oct 2011 - 恒指及國指最新阻力位
September
27 Sep 2011 - Facebook專頁及微博達標將捐款
27 Sep 2011 - 盈富基金(2800)有3.2厘股息率
25 Sep 2011 - 留意跌過籠優質股的反彈趨勢
22 Sep 2011 - 繼續以策略為本作變動
21 Sep 2011 - 投資是公平的?
19 Sep 2011 - 再闡釋投資組合的最新策略
17 Sep 2011 - 大市簡評。焉能辨市是牛熊!
16 Sep 2011 - 終有像樣的消息!
13 Sep 2011 - 最新形勢分析及投資策略
9 Sep 2011 - 百麗國際(1880)
7 Sep 2011 - 從喬貝斯領略投資真諦
6 Sep 2011 - 爆冷便是Happy Problem!
5 Sep 2011 - 仍選擇保守應對
3 Sep 2011 - 和記電訊香港 (215)及數碼通 (315)
1 Sep 2011 - 早評:勿被數天升市衝昏頭腦!
August
29 Aug 2011 - 大市有「正常化」跡象
27 Aug 2011 - 歐洲缺水美國拖字訣,中國正處內憂外患
23 Aug 2011 - 361度(1361)業績真的反底?
22 Aug 2011 - 談近期疑似熊市的應市策略;「紅猴食評」Blog正式開業
19 Aug 2011 - 多做多錯,少做少錯,唔做唔錯!
18 Aug 2011 - 還是以靜制動
15 Aug 2011 - 公用股被抽水; 監察中信國際電訊(1883)
13 Aug 2011 - 今年仍是五十步笑百步
11 Aug 2011 - 筆者投資零售股講義分享
10 Aug 2011 - 重溫金融海嘯時筆者的投資組合及說過的一個故事!
9 Aug 2011 - 憧憬...期望...超賣...反彈?
8 Aug 2011 - 股票壯烈犧牲也得有意義!
5 Aug 2011 - 港股今天是否跌得太多?
4 Aug 2011 - 沽清內銀股
3 Aug 2011 - 兵慌馬亂下,黃金仍有價!
2 Aug 2011 - 為長江基建(1038)估值;匯賢(87001)業績勝預期
1 Aug 2011 - 投資組合:維穩為重心,穩中求勝!
July
28 Jul 2011 - 紅猴文章分享:Prada的估值是否合理?
25 Jul 2011 - 今年「被問題」的公司特別多!
23 Jul 2011 - 中國移動(941)真的起動?今年捉不到大市節奏!
21 Jul 2011 - 世事無絕對,只有「真」情趣!
19 Jul 2011 - 達芙妮(210)翻生之謎:從中國鞋履零售股看銷售及存貨
18 Jul 2011 - 買入匯賢(87001);利信達(738)股東大會摘要
17 Jul 2011 - 可留意股票 (試驗階段)
14 Jul 2011 - 買新鴻基地產(16)不如買盈富基金(2800)
13 Jul 2011 - 兩個倖存的主題
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