Wednesday, August 8, 2007

Panic..!! What to do?


US market will be volatile because of the sub-prime issue. The strategies for coming 2 months will be:
1. If still got profit--- take profit
2. If loss ( quality company )--- accumulate but with slow pave and more aggresive toward the end of September/October.
3. If loss ( low quality company or counter ) ---- cut and run.
4. Stand-by bullet and Fight again, don't give up...this is not the financial crisis like 1998..
Dear investors, don't.... panic..And again.. watch out for these 3 indicators:
1. US market
2. Yen vs US currency ( Japan government's interest policy)
3. Oil price
Good Luck...God bless you.

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