俺现在手上有30%的多仓,分别为BNI, GLD, GSK, JNJ, KFT, LLL, MO, OIH, PFE, PG, SNY, WFC;还有RIMM和SMH的空仓。
俺将要实行的allocation是:
Commodities 40% - GLD, USO, DBA, CNQ, OIH, BHP等;
Fast Growers 30% - AAPL, GOOG, ISRG, JEC, MON, NTDOY等;
Stalwarts 20% - BNI, BRKB, JNJ, KO, MO, PG等;
Turnarounds 10% - AEO, AMD, AXP, SBUX, WFC等。
不知诸位高手如何决定?