看看fundamental分析,就知道这些股票被undervalue了。三十年S&Pindex average return is around 10%, 其中大部分原因是因为dividend reinvestment。所以在股市低迷时,投资dividend 高的股票是最安全的措施之一。我是一路看着pfizer从35到22,去年我让客户给清了,改做large cap,strategic bond和commodity基金,今年他们乐坏了。我们公司注重中长线高质量股票投资。
AGF large cap, HARTFORD asset allocation (40% bond, 60% stock) will be a better choice, IF you invest in CA DOLLAR.
-xz2029(Jenny等待春暖花开);
2008-3-7{109}(#26187@43)
iT'S NOT BECAUSE FIDELITY TRUE NORTH FUND IS NOT GOOD, BUT BECAUSE ITS PRICE IS KIND OF EXPENSIVE RIGHT NOW.