Stoks
- Decided to go back into big tech after some of them got sold down after their earnings.
- Bought the usual suspects, TSLA, MSFT, GOOG, NVDA and META.
- Waiting for AMZN if opportunity comes, it beat earnings estimate and almost broke 200 but fell down on the closing.
- Did some stupid options play again and lost almost 500 SGD, fk this shit.
- Sold DBS/OCBC in IBKR only for them to close higher in the day, bought back 10K worth of OCBC in Tiger.
- Earnings for all 3 banks are to be announced next week with DBS first on Thur, followed by OCBC/UOB on Fri.
- Should not have too much of a disappointment i feel.
- If market decided to go crazy, will buy more then as long the cores are not affected.
- Election next week and also FOMC meeting where they will decide another 0.25 or 0.5 cut.
- CFA dividend next week, estimated to get around $100 plus in cash.
US P/L 263475.18
SG P/L 130978.83
HK P/L 163206.17
IBKR C63269.65 $64612.10
Down-ed approx 11K for Tiger, 1.1K for IBKR
Redeemed all MMF
1.3219 USD FX
+Big Tech
Left with 63269.65 in IBKR to be WD
Life
- Still waiting for 16610LN QC from Trusty, it's been 6 days and going even without the long holiday previously.
- Went to FEP to window shop for some RLX, still very hard to decide whether to go gen or not.
- Time flies and it's the month of Nov, 1 more month to go to see how well the PF has performed YTD...pkl
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