_____________Mar %_____YTD %
S&P TR______8.76_____-11.01
EAFE________3.85_____-16.27
SSE_________13.94_____30.34
GreenDr______7.96_____-0.13
Pharma_______2.42_____-6.44
Yield_________2.81_____-8.50
Software______8.91_____-3.88
Entert________7.62_____-8.59
Best_________1.98______6.12
Short______ -11.24______8.41
China________2.75_____-4.37
I was early when I sold my short funds at the end of February, but it ended up alright in the end. Adding more shorts to the short-only fund hurt returns, it fell 11.24%. The three funds with more bearish holdings gained 2 to 3%, while the fully invested ones returned almost 8 to 9%. The rally probably still has legs, but I think this is still a bear market. March's notable position change was to open or increase long positions in the U.S. dollar, and short positions in the euro, after the dollar's drop provided a nice entry point. Links to all of my funds, with charts.
俄罗斯威胁称马克龙和卡梅伦最近的声明可能对欧洲安全构成威胁
-
俄罗斯3日对英国外相卡梅伦以及法国总统马克龙的言论进行了抨击,称两人的最新声明“有可能对欧洲安全、对整个欧洲安 […]...
No comments:
Post a Comment