Portfolio

 

We have build a portfolio include several tenbaggers and potential tenbaggers.

1.Stock T, which list on global market. The stock belongs to the kind of difficultity reversal, rank in the first class world wide and No.1 in mainland China in its industry. It has passed the hash times and goes up now, we predict the stock will have 5 to 10 times return in three to five years from the year 2008.

 

2. Stock S, which list on global market. The stock belongs to the kind of hidded asset and fast development, rank in No.1 in mainland China in its industry.We predict the stock will bring 10 to 20 times or more return in three to five years from the year 2008. A familiar stock which out of mainland China and list on other stock market has even reach 1000 times of its original price.

 

3. Stock B,  which list on global market. The stock belongs to the kind of fast development consumer business. The company produce most famous shoes in China market and has a high margin and fast development capacity. The Stock is not been low valued but also not been over valued. We believe the stock will have a brillient future and to be the future star in the stock market.

 

4. Stock H, which list on global market. The firm belongs to the kind of stable fast move consumer goods manufactory. The product of the company ranked No.1 in the market of mainland China. The Stock is not been low valued but also not been over valued. The stock will bring stable return to our portfolio.

 

Capital balance and risk control

We have build a formula program to balance capital and stocks to get more profit and avoid potentail risk. Use this program, we can allocate capital and balance the ratio of cash and stocks, and also allocate the capital among different stocks in our portfolio according to macro economy and micro situation of every individul stock.