1/13/2009

British subsidies to 500 million pounds to help people's employment

British Prime Minister Gordon Brown will launch 500 million pounds to assist employment schemes to encourage enterprises to recruit in order to reverse the 30 years the most serious recession brought about by rising unemployment.

The prime minister's office issued a statement, referring to Brown with the business sector and trade union leaders after a meeting yesterday announced the hiring and training of unemployed people in half a year or more employers, issuing £ 2500 as part of a plan to increase employment attributed to the fact that more than half a year of unemployment, due to technical and confidence in and increase their risk of long-term unemployment, it will take for them to set up a new security and extensive support programs.

Deterioration of the Great Depression, the unemployment rate

Brown in November last year raised 20 billion pounds plan to revive the economy, mainly tax concessions. Economics and Business Research Center, pointed out that the UK economy or the contraction of 2.9 percent, will create the biggest recession since 1980, in which the number of applications for unemployment benefits has increased to nearly 200 million, a record in November the number of unemployed since 1991 the largest increase, to 1860000.

Federation of British Industry said that the British banks and the financial industry may be laid off this season up to 15,000 people, to help the occasion of the sharp drop in business confidence to reduce costs, which means that if the Government does not plan to introduce in time employment assistance, labor market will be further deteriorated.

Brown said that Britain will do everything in its power to prevent the global recession to develop into global recession and unemployment to prevent short-term evolution of long-term unemployed. "Wall Street Journal" quoted people familiar with the situation said that Bank of England

Government's involvement in the possible establishment of a fund to allow enterprises to the stock exchange of the debt owed to banks, to prevent enterprises from bankruptcy caused by rising unemployment.

Ernst & Young accounting firm pointed out that by the Great Depression of the most serious recession since the impact of last year, UK companies issued profit figures for the police is to a maximum of 2001, an increase of 17% to 449, mainly from the services and retail trade, business days do not fare any better this year attributed to the fact that banks are reluctant to lend and trading partners into recession, the credit market freeze and the continued deterioration of confidence is expected next 12 months, continued to brave the stormy sea.

German government stake in financial hardship of large enterprises

In addition, the German government Monday will launch a 2-year total value of 50 billion euros to stimulate economic plans, Chancellor Angela Merkel's Christian Democratic Union-owned leader said that the Government had agreed to expand the corporate rescue scheme, shares in any winding-up due to the credit shortage faced by large enterprises , the measures include a total value of 100 billion euros in Germany Fund, issued credit guarantees to help cash-enterprise bond issues, investment company plans to expand the total value of 500 billion euros the German bank rescue fund to the overall economy.
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Big shot to buy the United States and MoroccoMeredith Citigroup to sell the future of self -

All a long period of hours.

Citigroup tried to "downsizing" in order to raise funds, the latest sale was included in the list is the Group's Smith Barney brokerage business sector (Smith Barney).

"I did not sell the wishes of Smith Barney, I love this business." Month and a half ago in November 21, 2008, Citigroup CEO Vikram Pandit (Vikram Pandit) in the Board of Directors stance. That night, Citigroup shares fell to the lowest point in 15 years to 3.77 U.S. dollars, forcing Vikram Pandit once again to the U.S. Treasury Department for help. As of 21 the week, Citigroup stock has shrunk more than half, 21 closing price of 4.71 U.S. dollars, compared with September 2000 the highest value of 57.50 U.S. dollars have lost 92%.

Just entered in 2009, Pandit had also reneged on its promise to sell "non-sale," Smith Barney.

Last Friday, as the crisis in the war accused the former U.S. Treasury Secretary, Citigroup senior adviser Robert Rubin (Robert Rubin), announced his resignation after the Wall Street then came news that Citigroup and Morgan Stanley are (hereinafter referred to as "big Mount ") consultations, which plans to sell 51 percent of Smith Barney shares the right to sell their holdings.

Because I have been opposed to splitting Rubin Citigroup business, his departure would finally reached the deal to remove the obstacles. "Wall Street Journal" on the 12th, said the two sides could come as early as this week announced an agreement.

The deal represents a crisis of the past two opponents strategic transformation: Citigroup had to abandon the "financial supermarket" tradition, to smaller, more focused business model development; and have turned to bank holding companies Moreton such a move will make an important retail investment market.

Smith Barney trading

Smith Barney is Citigroup Global Financial Services, one of the two major components, the group is also a rare "health" of assets.

Citigroup's third-quarter financial results in 2008, even in the most severe financial crisis last year, 9 months ago, Smith Barney's earnings still maintained a growth rate of 2 percent year-over-year for the creation of Citigroup 7.938 billion U.S. dollars of income, in which global financial management business accounted for more than八成share. Throughout the year in 2007, Smith Barney 10.529 billion U.S. dollars income for the Group profit contribution rate after the U.S. credit card business and international retail banking business.

Even leaving Citigroup, Smith Barney itself in Wall Street history, also has a pivotal position.

Smith Barney is a global, full-service investment banking and securities brokerage firm. Its main predecessor was in 1873 in Philadelphia, Charles D. Barney set up a securities brokerage firm, and in 1892 Edward B. Smith in Philadelphia set up a securities company; Another important predecessor was the bond market has叱咤Salomon Brothers (Salomon Brothers Inc.). In 1997, these three companies merged to form Salomon Smith Barney Holdings Inc., under the Travelers Group, one year after the merger of Travelers Group and Citibank to form Citigroup today. In 2003, Citigroup would "Solomon" prefix from the company's name erased, leaving only the name Smith Barney.

On the 12th, "The Wall Street Journal" quoted unnamed sources as saying that Citigroup will pay big Moreton about 2.5 billion U.S. dollars, the acquisition of Smith Barney brokerage subsidiary of the two companies control 51% of the transaction the two sides will set up a company named Morgan Stanley Smith Barney (Morgan Stanley Smith Barney) joint venture, by the operator responsible for the management of Moldova. Great Moreton might 3 years after the holdings of shares, and in 5-6 years to hold all the shares.

Once the transaction is completed, the newly formed joint venture company will exceed the Bank of America became the world's largest brokerage firm, is expected to be about 22,000 brokers. Bank of America completed the acquisition of Merrill Lynch, has about 20,000 brokers.

Oppenheimer & Co analyst Meredith Whitney (Meredith Whitney) in the latest report of customer forecasts in the deal, Citigroup will receive large motorized 2-3 billion US dollars, after tax in accordance with the accounting rules, Citigroup will continue to receive from 5,000,000,000 to 6,000,000,000 US dollars of after-tax profit of capital.

Fox-Pitt Kelton analyst David Tronchet (David Trone) 1 on 9 interview that Moldova is likely to use large 700 billion U.S. dollars from the issue of asset relief plan (Troubled Asset Relief Program, TARP) obtained funding to pay for the deal.

Sell future

Citigroup's move to sell high-quality assets, exacerbated by the market condition of the assets of the Group of real concern.

"Fund remains the major challenges facing the United States, although we believe that the deal shortly to be able to ease the financial pressure, but only those most likely is not enough." Meredith Whitney that. She said that Citigroup Smith Barney to sell its shares, suggesting that the previous government a series of assistance and can not meet the needs of the world's largest banks.

2008, in the stock crash in November, Citigroup again obtained from the U.S. government assistance. November 24, led by the U.S. Treasury Department issued a joint statement that the U.S. government 700 billion U.S. dollars from the TARP plan to 20 billion U.S. dollars to fund the purchase of Citigroup shares, so that Citigroup accumulated from the TARP plan was 45 billion U.S. dollars capital injection. In addition, the U.S. government also said that Citigroup will be 306 billion U.S. dollars of the risk of loans and guarantee bonds.

Citigroup holds a large number of high-risk exposure to the financial crisis has suffered serious losses. KBW Bank Index, Citigroup became the worst performance for two consecutive years in the U.S. banking stocks.

In October 2008 announced third-quarter financial results, Citigroup quarter loss of 2.8 billion U.S. dollars, mainly because up to 61 billion U.S. dollars of property-related losses. Up to now, Citigroup has reported four consecutive quarterly losses, accumulated losses have exceeded 20 billion U.S. dollars.

"Citigroup not hesitate to sell their future to resolve the current financial problems, it is regrettable that they now do not have much choice." For the United States and the deal between Moreton, David Tronchet evaluation that he expected Smith Barney, worth about in the 15-20 billion U.S. dollars between.

In order to address funding pressures, Citigroup has announced plans to divest the four major assets, including its Global Services, the German retail banking business, as well as welfare services business CitiStreet, and Citigroup's technical services department, and said that there will be more similar to the sale of plan. In addition, Citigroup has come through layoffs and other cost reduction. December 5 last year, Citigroup's German retail banking business to 5.2 billion euros (about 6.6 billion U.S. dollars) sold to French bank Credit Mutuel-CIC, from four billion U.S. dollars trading income.

January 22, that is, Obama formally became the President of the United States two days later, Citigroup will release fourth quarter results, the market is expected that the Group will be released nearly 10 billion U.S. dollars for the huge losses. Germany to sell its retail banking profits in 2008 the year the Group will continue to hit 20 billion U.S. dollars more than "the worst annual loss."
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Deutsche Bank 9 years or the first loss of the securities sector deficit is 1.5 billion U.S. dollars

2 According to informed sources, Deutsche Bank in the past quarter because of hedging transactions engaged in bonds and a loss of one billion U.S. dollars. In addition, the bank also suffered a 500 million U.S. dollars of stock. Analysts believe that Deutsche Bank may be a loss in the fourth quarter, which is Deutsche Bank Securities Sector 9 years for the first time showing a loss.

NetEase Financial inquiry: According to the U.S. Bloomberg News reported January 12, the two informed sources, Deutsche Bank in the past quarter because of hedging transactions engaged in bonds and a loss of one billion U.S. dollars. In addition, the bank also suffered a 500 million U.S. dollars of stock. Analysts believe that Deutsche Bank may be a loss in the fourth quarter, which is Deutsche Bank Securities Sector 9 years for the first time showing a loss.

Weak performance of the collective financial giant

Goldman Sachs, Morgan Stanley, JP Morgan Chase, Credit Suisse had a bad day for the same. Since the Lehman Brothers bankruptcy in September since four financial giants have suffered similar losses. In addition to Goldman Sachs, all the banks have declared they are to close a number of proprietary trading business. LBB Invest in Berlin asset manager Lutz - Meyer (Lutz Roehmeyer) said: "At present, the financial crisis has been brought to the Deutsche Bank have to shocks, the bank need to reduce the risk and reduce the size of transactions in order to adapt to the changing market conditions. "

In 2007, in addition to Goldman Sachs, the Deutsche Bank's trading debt than all the other banks higher. It is reported that Deutsche Bank's securities department 9 years may be a loss for the first time, reflecting the bank has not been able to deal with a very good market changes. While in the bank on February 5 before the publication of results, Jain refused to comment on the reports. Goldman Sachs and JP Morgan Chase and Deutsche Bank, together, are subject to the U.S. sub-loan market, as well as weak investment performance bond of at least 35 years to the worst, as well as the stock market's worst performance of the impact. Deutsche Bank CEO Ackermann (Josef Ackermann) at the end of last year, 12 said that its wrong to estimate the severity of this crisis. Diamond, CEO of JP Morgan Chase (Jamie Dimon) pointed out pointed out that the business of trading, the 11 and in December is very terrible.

Since 2008, Goldman Sachs has become the world's most profitable securities firms, but the fourth quarter still suffered the loss of 2.1 billion U.S. dollars. It is worth mentioning is that this is its listing since 1999 for the first time since the loss. In addition, the company's fixed income, currency and commodity sector a loss of 3.4 billion U.S. dollars, reflecting its is faced with a difficult trading environment.

Difficult difficult environment

Switzerland's second-largest bank Credit Suisse (Credit Suisse) in December 4, 2008 said that the previous two months, about 2.7 billion U.S. dollars to suffer losses, their will be laid off 5,300 people. In addition, the bank in October last year and in November the same suffered not a small pre-tax loss of income. According to Bloomberg News by the aggregate data, the world's largest banks and brokerage firms have suffered more than 1 trillion U.S. dollars of assets as well as the reduction of credit losses. Since the beginning of 2007, such cases are forced to finance its 946 billion U.S. dollars.

Deutsche Bank co-head of global credit trading by the end of 2008 in Boaz Weinstein sector losses will leave. 35-year-old Weinstein plans to take away 15 colleagues, the second quarter of his company will set up a hedge fund. Deutsche Bank global credit trading, another supervisor, also his partner Colin Fan also to join his company. People familiar with the situation on December 12 has pointed out that Lehman Brothers in September after the bankruptcy, Weinstein operation exchange credit default (CDS) contracts for the bond hedge, resulting in loss of one billion U.S. dollars, while the Weinstein has worked in Deutsche Bank for 11 years. Merck Finck & Co. Analyst Konrad Becker said Deutsche Bank intends to reduce the risk of self-Ministry is the main reason, it is reasonable to leave Weinstein.

In addition, Credit Suisse said its investment in complex products and will give up some proprietary trading (proprietary trading). JPMorgan Chase Bank analyst Kian Abouhossein said: "The current environment, everyone is under pressure, almost no one can avoid losses. Deutsche Bank the situation is relatively good, but in response to the current market uncertainty, the Bank financing may also be very large scale. "

By the assets by taking into account the impact of reduced transaction volume in 2008, before the nine months, Jain, Deutsche Bank earned only help all of its revenue 28 percent, while the figure in 2007 was as high as 54%. In 2008 the first three quarters, the consumer banking sector is the line in all sectors of the most profitable sector. In addition, foreign exchange and commodity trading to some extent make up for the Deutsche Bank in structured products revenue losses.

At present, Jain is working with several other bank executives to work together to give up their year-end bonuses. According to sources, Jain's global market sector plans 900 job cuts, the total number of employees by 15%. Merck Finck & Co. Companies in Munich analyst Konrad Becker (Konrad Becker) said: "In the past, when Jain department is the most profitable. In our view, he is the CEO of Deutsche Bank the next candidate. "further deepen the financial crisis could force Deutsche Bank to obtain from the investor more money, so Becker recommends selling shares of Deutsche Bank.

Transaction risk

According to Morgan Stanley (Morgan Stanley) banking analyst Van Steenis (Huw van Steenis) 12 dated 16 that, in spite of Goldman Sachs has the world's largest mergers and acquisitions advisory business, but Deutsche Bank's leverage ratio than Goldman Sachs Group more than twice, but also far higher than is located in London, Barclays Bank.

Third quarter of last year, due to intensified global economic recession, the risk increased, large-scale integrated-type financial institutions are facing the prospect of enormous pressure, Standard & Poor's Ratings Services (Standard & Poor's Ratings Services) lower than the United States and the European Bank's credit rating Deutsche Bank ranked one.

Van Steenis said: "We recognize that Deutsche Bank has its own good financial team, and the bank's risk management should be significantly better than many other banks. But it is not the usual time, is now such a serious credit crunch, credit market liquidity serious disruption to the flow, small-scale high-cost credit requirements, although more, but for the Deutsche Bank, such as large financial groups and there is not much benefit. On the contrary, we believe that the cost of diluting the risk remains high. "

Van Steenis said in London, Deutsche Bank, he predicted will increase by at least 6.5 billion euros the amount of capital injection, but the bank is likely to cut shareholder dividend income to improve their own balance sheet situation. This projection has great credibility. Van Steenis forecast with JPMorgan Chase Bank analyst Kian Abouhossein previous forecast made by the same amount of money. Kian Abouhossein, said: "Under the current circumstances, all the assets in the event of the diminution in value of the risks, the risks and therefore almost impossible to avoid." He also said: "Deutsche Bank's situation is relatively good, but in response to the current market uncertainty , the bank's financing may also be very large scale. "

Kian Abouhossein that Deutsche Bank's stock price changes can not indicate to the problems. But in 2008, Deutsche Bank in Frankfurt trading market share prices have fallen more than 69%, which is what investors obviously not good news, investors sold the bank's retaliatory in turn, will inevitably result in Deutsche Bank's market value has shrunk sharply . So far, Deutsche Bank's market value was only 13.9 billion euros poor.

Capital requirements

Deutsche Bank CEO Ackermann (Josef Ackermann) in November 12, 2008 made it clear that Deutsche Bank does not require government financial aid. He claimed that Deutsche Bank can fully rely on the internal self-rescue measures, such as the sale of company stock, the issuance of new corporate bonds. According to an informed source said last week, until now, Deutsche Bank does not accept government assistance plan also nothing has changed.

Germany's second-largest bank - Germany's commercial banks (Commerzbank AG) chief executive Martin - Blaesing (Martin Blessing) said that the German commercial banks would study carefully the government package of rescue package in order to determine "whether the plan to the line constitutes a practical significance, and then be taken into account. " January 9, the company announced the second phase of the Government grants have all到账a total of 10 euros, which the company will account for 25 percent of the total market value.

Although Deutsche Bank declined to accept government assistance, but that does not mean that the bank's financial situation is not without any problems. The bank December 17 aimed at the adoption of a cash fund programs involve a total sum of 10 euros, which shows that the banks have also resulted in a serious financial crisis. In view of people's doubts, Deutsche Bank made a clear response: "to make this decision because the replacement cost of funds to increase rapidly." Sanford Bernstein analyst Dirk - Hoffman - Menachem Begin (Dirk Hoffmann-Becking) pointed out that the : Deutsche Bank is seeking all possible ways to prevent the cost of capital growth.

Favorable accounting standards

According to the statistics show Abouhossein: Deutsche Bank in 2008 by total assets of the whole year is obviously much less than many U.S. banks, but also lower than the two rival UBS of Switzerland and Credit Suisse. According to statements by the end of 2008 third quarter showed that benefit from the new accounting standards by bringing the assets of reduction, the bank the third quarter of 435 million euros profit. Quarterly Bulletin revealed that the key to profits accounting rules change, which makes the bank the third quarter of assets decreased by 845 million euros, for a total of 1.2 billion euros to mention, by Assets of assets, including leveraged buyout loans, housing mortgage-backed securities and bonds and commercial real estate. Since last year, Deutsche Bank cut the total assets of 8.5 billion euros. Deutsche Bank's investment banking sector for the third quarter pre-tax loss of 789 million euros for the third consecutive quarter showing a loss. And before the once considered a stable business in the retail banking sector, asset management and global transaction banking sector pre-tax profit from the same period last year 832 million euros to 449 million euros decline.

Consumer banking business

Ackerman, president of Deutsche Bank in December 29 last year to accept a television interview that he completely failed to properly estimate the extent of the damage the financial crisis, but his quick recovery in financial markets have high confidence, the situation is expected to good changes will soon occur. But it was not until Lehman Brothers came tumbling down, the financial experts view of the financial markets should be changed. He said: "Until then I was well aware that this so bad."

Ackerman has been on the financial crisis, declined to comment, but rather focus on how to expand the Bank's business. He bought shares of Deutsche Post 30% stake in the company. Deutsche Post AG owns Germany's largest consumer banking business through the acquisition Ackerman plans to improve its private clients and corporate customer base.

Credit rating has been falling

Because of the financial market situation is too grim, Deutsche Bank's credit ratings have suffered a corresponding reduction. December 19 last year, Standard & Poor's ratings will be Deutsche Bank lowered to AA-from A +. The well-known rating agency, said Deutsche Bank in 2008 fiscal year can not be optimistic about Q4 Quarterly Bulletin, and by the market impact of the larger environment, and its level of profitability in 2009 will also be more in 2007 the level has dropped significantly. In a Bloomberg News survey of 43 analysts, only less than one-third think that investors should buy shares of Deutsche Bank. Correspondingly, more than 40% of the analysts recommended the purchase of UBS and Credit Suisse shares
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1/10/2009

German Finance Minister: Bank mergers and acquisitions benefit the German economy

German Finance Minister Peer Steinbrueck said the German Dresdner Bank mergers and acquisitions of commercial banks the benefit of the German economy, to strengthen Germany as a financial center.

German Finance Minister Peer Steinbrueck (Peer Steinbrueck) said that the German commercial banks (Commerzbank AG) acquisition of Allianz Insurance Group (Allianz SE)'s Dresdner Bank (Dresdner Bank) will help strengthen Germany as a financial center.

German Finance Ministry spokesman Torsten Albig said Steinbrueck said, "This is beneficial to the German economy", the German government of Germany's Commerzbank Dresdner Bank M & A transactions is not political bias.

German Deputy Finance Minister Joerg Asmussen said the deal is "progress in the right direction."

German commercial banks after the acquisition of Dresdner Bank, and its retail customers in Germany will be doubled to 11 million, more than Deutsche Bank (Deutsche Bank) of 9,700,000.

Germany, Mr Michael Meister said that the German commercial banks and Dresdner Bank M & A will become the second largest bank in Germany, "I congratulate all the relevant groups."

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Hot Germany to buy China stocks

"In recent years, Germany's major stock exchanges are actively investing in China stocks. Currently in Germany Exchange listing more than 350 Chinese enterprises, the monthly volume of transactions reached about 500 million euros." In an interview with our reporter , the German stock exchange in Chinadepartment, said: "China concept stocks in Germany's stock market is thriving."

Ten funds name "China"

Reporter in the interview that, especially this year in March and July, two Chinese companies in the German Stock Exchange, achieved a listing of Chinese enterprises in Germany breakthrough.

In July this year from China and Germany refuse incineration technology company, its shares in the July 6 public offering before won 13 times over-subscribed. Company stock reached 23 times, far outstripping the German stock market average of 12 times earnings. The Company's shares are issued at a price of 26 euros per share, after the listing of shares once reached 37.39 euros, or more than 40%.

Dr.said that the Chinese stock market value of nearly 5 years, an increase of 5 times. China Mobile, China Telecom, as well as finance, real estate and retail areas such as the rapid growth of Chinese stock. For example, the recent Chinese stock molybdenum particularly popular, an increase of 11.11 percent a week.

At the same time, Germany's major stock exchanges also step up the issuance of China Concept Fund, now has more than 10 can engage in business in China Fund, a total of four billion euros operating funds. In the past 12 months of value-added scale, the top 10 are Chinese funds dominate the world, the rate of return are more than 100%: Schroder ISF three Chinese fund to 144.95 percent, 143.26 percent, 141.80 percent of the value-added swept the top three; Robeco Chinese funds to increase the value of 136.10% fourth; JP Morgen Fund JF China to increase the value of 131.70 percent ranked fifth.

It is reported that Germany's China Concept Fund purchased shares of Chinese enterprises. For example, in China Fund Schroder ISF, China Mobile, China Life, China Construction Bank on several pre-occupied. Person in charge of the Fund, Dr. Wolfgang told reporters that "We are the field of infrastructure such as railways and heavy machinery manufacturing industry is also very interested in the stock." In his view, the Chinese Government is to increase input in these areas will be promoted in these areas upward march.
"Invest in China" into the pet phrase of shareholders

This reporter has learned that the Chinese concept of good stock and fund returns, so that German investors on the Shanghai attention far beyond the concerns of Wall Street. Berlin stock Nangarhar, told reporters in Berlin before he time 22:00 and remain vigilant, because then it is the New York Stock Exchange closing time, from where information will be reported the next day and the trend of the stock market has a major reference value. The situation has changed now, he can sleep a quiet night sleep, because Berlin time 78 o'clock in the morning is the Shanghai stock market closing time.

Nangarhar, told reporters that over the past 5 years, the prosperity of the German stock market to a large extent, dependent on "Made in China." Although the German population a more conservative investment structure, but they are still not on the new growth centers from around the world signal of indifference. "Investment in China" has become a pet phrase of the German shareholders.

Frankfurt stock Ms. Louisa told reporters that "In the past, my main concept of investment funds in Japan, but the unsatisfactory performance of these funds. We had overlooked the Chinese market, but still strong upward, so I put 'Po' the concept of charge in China the fund. "Louisa said that the Chinese concept of the Fund brought her the excess return, the investment for two years, revenue has increased 2.5 times. Munich shareholderstold reporters that he also bought shares in China. Optimistic about its prospects for him, because China's economy to strong growth in long-term, Chinese enterprises will continue to grow.

It is worth mentioning that China's stock and the Fund has also become Germany's major banks securities advisers to the younger customers preferred proposal. German "Handelsblatt" commented that, 5 years, the Chinese concept stocks and funds will be like "Made in China", as every German investors in the hands of a "trump card."

Hope that more Chinese companies listed in Germany

China's stock and fund investors in Germany in the wave of popularity, as well as from New York, London and other places peer competition, the major stock exchanges to Germany turned its eyes to China. Dr.said: "In 2007, only Germany Exchange market in China has held more than 20 times to promote activities, carefully selected the 30 Chinese enterprises in Germany, and organized a response to China's enterprises Capital Market Forum." This is 400-year history of the German Stock Exchange the first time to look to China. China has become German Exchange in addition to the European market, the growth of key development market. Deutsche Boerse also plans to open representative offices in China.

This reporter has learned that the German Stock Exchange for this purpose also the joint more than 30 investment banks, law firms, auditors and accounting firms and so on, formed a strong "China experts" team. Internal Exchange in Germany, set up a special responsibility for the activities of Chinese companies listed on the department, at the same time employed in Germany than in the relevant Chinese departments. The main goal is to attract Chinese SMEs to come to market.

Dr.told reporters that the current German stock market's main goal is to attract Chinese SMEs to come to market. Germany Exchange, Berlin Stock Exchange and a number of investment banks have made it clear that compared with the Nasdaq and other markets, the German stock market financing and low cost, simplicity, and therefore more attractive to small and medium enterprises in China. "We hope for China's SMEs to open up the German market to provide financing services." At the same time, Germany also hopes to attract Chinese investors to directly invest in the stock market in Germany. Because the euro's appreciation vis-à-vis their U.S. dollar assets more hedge function.

Dr.pointed out that the Chinese enterprises, listed in Germany can be greater visibility and prestige, the concerns of analysts to get more access to capital to support the euro currency. In addition, machinery, automobile, chemical and other industries as the main force of the German stock market, many domestic small and medium-sized traditional manufacturing enterprises attractive.

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A British futures operator instead of the confession - investment skillsa

Hailun the first year, I paid more than 60,000 pounds, I learned what?

I was in London futures market in the first year, as an independent operator instead the scene, I traded the 8804 British stock index futures contracts, a daily average of about 40 contracts.

The result is I have lost 61,620 pounds - an average of each trading day loss of 267 pounds. I have 55% of time is to make money, those days a daily average of 1009 pounds to earn profits. And other money-losing day, I average daily loss of 1780 pounds. My income is up to 8730 pounds a day, and I am the biggest loss of 22,426 pounds a day is lost. Thus, you can imagine out, then it is very difficult when I am.

I have been working hard to find how it can be profitable and stable way. But the stability seems to be the most difficult to achieve. As you see, I have the successful experience of making money, but I failed my suffocation. It seems every time one or two weeks time, I earned about £ 6000 after a few days, I would have lost all the proceeds, and even more money, about a few thousand pounds.

At that time, I am very dissatisfied with its performance and therefore do not want to spend time to analyze. If I do an analysis, I would have found that during that time, I avoid it as long as ten days of losses, I can reach the end of a small amount of profit, rather than a loss of 61,620 pounds in 10 days I lost £ 90,169!

During that time the last days, I feel very lost and irritability. I decided to withdraw from the battlefield hailun find a more stable and reliable work.

But only a few weeks, I gave up the idea of no longer hailun, has returned to the trading market. I found that I have become a stable profit operator instead of the success of the talent, I think I need some sponsorship.

I hope someone can help me no longer have those great days of losses, these losses so that the economic situation, I tend to collapse.

I have contacted a company, the company is willing to support some background operator instead, they agreed to lend me £ 20,000 start-up funding. We have six, four are divided into. I promise to be the daily loss of control in less than 500 pounds.

If one day I reached a loss of 500 pounds, the company's site manager would come and ask me to go home. Only the third day, I lost about 500 pounds, but nothing happened, no one to tell me to stop the transaction.

I feel very foolish, but in the remaining days of the week I will continue trading, while avoiding contact with the manager. That in the next Monday (the loss of the week reached a total of about 6000 pounds), I was told to and I charge as per signed agreements to meet (in the last week, he happened to travel a).

I thought he would have to cease our contract. However, I was surprised, he told me that I can trust is very important.

He said he needs to know, when the market is unstable, he can rest assured that I will not be backing a huge loss. He suggested that I clean slate. Needless to say, I am pleased and grateful to him.

In this way, I also returned to the Market Hall. That morning, I am determined to loss of control in less than 500 pounds. The next two weeks, has become my career, the most difficult and the most valuable period. When to stop losing money in my hand is a very difficult thing.

  I realized that I suffered a great loss to the past, the root cause lies in the fact that I do not accept the result of a loss. For me, a loss is unacceptable.

It is precisely because I do not want to accept the loss, I have a loss of 10 days straight. But as time goes on, although I continue to the loss of 500 pounds a day, I found my emotions started to get better.

In fact, I began to feel a loss of nothing, as long as it is in my limits. In this past 10 days later, a miracle occurred, I started a profit.

My goal is to earn £ 2000 per day, and then not more than 20% of which lost money back. So, when I began to profit when earned 800-2000 pounds per day, with an average of about 1200 pounds a day. I not only started to profit, and after another 15 days are, three weeks without any loss!

This marks a new chapter in my career hailun start. Recalling the past, I think I was in hailun fear, fear I really was a loser.

  that two weeks in harsh and strictly control the loss of the established limits, let me re-evaluate myself. I started to control the loss of both good and feel good about the bottom line up. Previously, as long as my loss, and emotional on the poor; now, only when losses exceeded my limit, I will feel bad. Ago, I never knew I would earn £ 2000, or loss of £ 5000; now, the worst result was a loss of 500 pounds, but it's no big deal.

I began to note that the loss has been controlled within the scope of my permit, which is a symbol of the ability. Enhanced my self-confidence. Looking back at my first year hailun losses, if I strictly limit my losses in the 500 pounds a day, then a loss of 61,620 pounds may be turned into a profit of £ 63,525.

Not only this, I would like in that period, if I had been a loss of control in my floor, I can be more self-confidence, I will be more profitable some day.

Absolute fear win, if we are afraid, it is the fear of what in the end?

"Our biggest fear is not their own lack of capacity, but underestimate their own. Very often, our potential power, rather than intimidated by its own darkness. We ask ourselves:

  "how could I so talented, unlimited scenery?" In fact, why do we not? You are God's children. Your self-defiance of the world is not useful. Belittle their own, making around other people will not feel uneasy, and this can not be regarded as a wise choice. We should be a glorious God-given emitted is not that we in some people, but everyone. When we let ourselves shine when inadvertently also encourages others to do so. When we freed from the fear, we should also automatically release the others. "- Nelson - Mandurah

  Whatever the root causes of our fears, to become a successful operator instead, we must build up self-confidence and overcome fear. To believe they can take the best course of action.

When we go with the psychological fear hailun, we fear it will give us so that we can take action losses. The question is how to create an unshakable confidence?

We believe that we have confidence in themselves and others, the process is similar. If others can always do that, we can believe him. Similarly, we more and more loyal to their own to become a successful operator instead of the goal, always as good as its word to comply with our plans and Trader, then will be able to trust themselves.

This sounds somewhat ambiguous, if you like, as I did not control themselves, then you how to take the correct action to build up self-confidence?

To some extent, I was lucky, I understand I have no way out, if I am more than bottom line, I will be expelled from the game. Therefore, I have to control their own. I do so the results, making me the opportunity to confront his fears, and ultimately become a loser out of fear.

From one out-and-out total in the loss to the operator instead of a stable profitable operator instead, we need to set some of which can be expected to goal.

  my original question is for those who lost a small loss into a big day, therefore, to limit the losses at the end of 500 pounds to stop the transaction at the time was a goal I am very appropriate.

For others, the first problem may be hailun can not take action in the decisive attack. We can do such a practice:

  a hailun simple system, set such a goal, when hailun trading system gives a signal, immediately without hesitation to take action, no matter how hesitant in their own hearts.

We need an   a hailun to develop their own skills. When we can be confident that we can control the loss of time, we have trained themselves hailun instruction skills.

  Then we re-training skills to increase profitability, and so on.

Like tennis star, as they are not alone to participate in the competition became a star, they are practicing a market a wide range of skills training, in the whole career to keep on training their own. As an operator instead, we have to clarify their own the necessary skills, and then concentrate on them one by one to do for training.

Tennis does not expect a rookie to start playing will be able to win the game, they know they first have to spend quite some time to learn and practice.

  Trader in the financial markets, such as playing tennis, the need for skills. These corresponding skills through continuous learning, training, can eventually grasp.
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Zhuang Unit Sit Zhuang Mold Style Exploration Peru

Quest modeZhuang Unit Sit Zhuang


China's securities market a short span of ten years of history, foughtZhuang Unit: From the end of 2000 in Section venture staged high-profile diving, tohundred shares of the stock market "myth" burst and then collapse Delong Department. China's stock market fell one group after another ofZhuang Unit.

What is "Zhuang Unit"? By convention that concentrate chips, the small number of shareholders, and the per capita ownership of even a large quantity ofZhuang Unit. Typically, chip control at least 30 percent, the supercan even get more than 90%. The industry believes that the "Zhuang Unit" has the following characteristics: First, the trend of long-term see-saw, a small amplitude. Second, although the event has not been bad against shares plummeted; III commissioned to buy, the price gap between Venezuela to sell large, erratic and so on.

Zhuang Unit Sit Zhuangfour phases

AnalysisZhuang UnittheZhuang Unitmode of their life cycle, either through the following cycle.

The first stage: SelectZhuang Unitobject. This is often a bearing on the success or failure ofZhuang Unitbecause only select the right object, will have to follow the trend in order to maximize the ship to ensure the smooth.

The second phase: the collection of chips. Makers often in the market not to be optimistic about when to bargain hunting, the most typical way is to release bad news listed companies, stock prices fell sharply after the beginning to absorb.

Phase III: volume and, boost. The collection of chipsZhuang Unittechnical characteristics of the largest trading volume is continuing to enlarge, because the only way to illustrate the approach outside the capital. Makers generalsubsequently started, because many small and medium-sized investors are well versed in technical analysis, will follow the trend of bold intervention, it will chooseMakers. ThisZhuang Unitoften to see the early start.

Phase IV: shipments. Technical form of the main shippingas follows: First,hot plate, the high volume to form a single needle Department of stagflation; Second, after the heavy use of ex-dividendposture assumed to follow the trend to attract the market, shippingway. Third, innovative shipping speculators approach, that is first in the high to pull down a platform, or to suppress a section of space, and then make up a breakthrough or even another record high, to attract small and medium investors to follow the trend.

DivingZhuang Unitreasons

Strand breaks of funds is a fatal divingZhuang Unitlinks. Ultimately, the funds not be able to escape the declineZhuang Unitstrand break the deadly link. In 2001, the 2002 disaster areZhuang Unityears, many stocks in December 2001 before and after the concentration and tragic diving, mainly because stock prices are leading to significantly shrink face tight funding, a large number of funds Makers strand breaks, in some of the main also has been financing side of the stop-loss operation, then diving deep reflection of the collective fundsZhuang Unitstrand breaks to bring about a fatal blow. Of course, lead to capital-strand break numerous reasons, but the result is the same: stock avalanche.

The securities industry and industry-wide losses can be directly attributed to a large extent "" Therefore, the industry will never have announced, Does this mean thatZhuang Unitera coming to an end? Analysts believe that unspeakable optimistic. With the era after the share reform is approaching, whenZhuang Unitcontrol at any time may become the subject of the transaction, theZhuang Uniton a new mobility. Private Equity Fund in the legal status, the concentration of investment patterns will also become a stock market, an option can not be ignored. Therefore, in the post-stock reform of the institutions game era, did not rule out speculationZhuang Unitwill come back from the dead or the emergence of "newZhuang Unit" possible.

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Actual sum up the Super 10 strokes short-term stock market

Actual sum up the Super 10 strokes short-term stock market

The so-called super-short-term, the same day the same day to buy or sell today, tomorrow to buy it to sell the image of a portrayal of the election principle of super-short stocks is to choose a strong stock market, leading shares, do not consider ultra-short-term stock's fundamentals, which is a purely technical analysis. How to play good ultra-short-term, I summed up the 10 strokes, purely individual stocks over the past few years experience, do not have to rely too much, otherwise I will be quite a responsibility, not to ignore, and if so, thebut your money, nonsense at least, listed as follows:

First, have a sharp market insights and adequate time.

Second, to the timely detection of the market where short-term hot spots, in fact, a minority of the total stock market trend to ignore out of outstanding short-term market, at the same time bring the whole plate. We short-term operation of the object is to choose this type of market there is widespread concern that most people still dare not hesitate to intervene in the stock.

Third, in the hot plate in time for the selection of stocks must be involved in the trend of most leading shares, rather than security considerations for the funds to participate inor follow the trend of the stock.

Fourth, from a technical analysis, ultra-short-term candidate shares must be on the 5th line up and have a certain slope of the only consideration, the timing of buying in the medium-and long-阳线heavy volume after a new high on the 5th linemeasureless time to stabilize. But sometimes encountered heavy volume for the stock soaring, especially in low volume stocks up, the next day than to enlarge it several times and even dozens of times canapproach, such as the first half of the chlor-alkali chemical, Xinlian shares Wujiang electricity. There when you hold a stock only at the end of the warehouses have been encountered by the bulldozers, the trend has just started, then I can safely do to intervene "T +0", but not expected in the afternoon can be reached before the close of trading on the stock price of illusion , the fact has given us too many lessons, such as the recent Chongqing Department Store, Qilu Software, Ling Bridge shares of Qualcomm Holdings, etc. -slightly, it will fall into the trap! (Source: Learning Network shares http://www.8% gp8.cn)

Five, ultra-short-term operation is most important to set the stop-loss point, it is necessary to bear in mind that short-term speculation, and speculation of failure is necessary to have the courage to stop out, this is iron discipline.

Sixth, to do more to set up super-short-term target, in principle, to earn three points, or 5.1, 3% or 5% of the profits out, the plot could become little more than them! If the red K-line in your eyes become the indefinite extension of the gold, when it is most in need out of your time.

7, super short-term out of principle is reversed as soon as stocks rise on out below on the 5th line or share price is less than two days before (2-day average follow-ping) or the first three days (three days average follow-ping) when the closing price run, this is a better approach. If you wanted to run in a better price point can be identified earlier on-line form of the less than satisfactory circumstances, in line after 30 minutes to 30 minutes below average for 10 out signal.

8, once you select a super-short stocks, they should be in accordance with the schedule determined to do, are now able to elect a lot of good stocks, but in the end he did not operate. We are doing more time for decision prior to believe their own more refined and systematic analysis, and not let the newspapers and Web site so-called casualwill force you!

9, you are interested to be an ultra-short-term master it?

Please play strictly by the above-mentioned operation and sent you this paragraph:

Once done right - make a lot of money are not allowed to watch,

Got it just about right - the smallest loss

Not be allowed to see, do not - suffered heavy losses


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Once, done something wrong - does not make a lot of money

10, super short-term players should keep their short positions, so if the Department Shou-son dynamic, such as rabbits off. Do not make moves have been, the newspaper is!

1/09/2009

Shaken British stock market panic in the tense days of fall

In the United States meeting in accordance with the crisis caused by the global financial turmoil, the United Kingdom shares plummeted over the past few days, the market panic tension. At the same time, the United Kingdom inflation surge in consumer prices rise, the parties to forecast the British economy will accelerate the recession, the negative atmosphere.

According to the Hong Kong Ta Kung Pao reported that the Bank of England to the market Monday put five billion pounds after the issuance of 20 billion again Tuesday to rescue the market. However, the British Financial Times index is still down 178 points Tuesday, dropped to the lowest level in three years. Today in the U.S. insurance group AIG, under an emergency, even though the U.S. government to take action to rescue the market, British shares were still trading down.

Tuesday the major British banking stocks were down in an emergency, in which Britain's largest mortgage bank HBOS's share price fall was 34 percent, and closed down 22 percent. Britain's largest real estate lending bank Xiali fass Jie Housing Agency is under the bank HBOS, with 20 percent of the United Kingdom revealed Housing loans, more than 2000 million borrowing customers. Opening on the 17th, while Britain has other banking stocks rebounded, but first and HBOS shares fell again 8:00.

Royal Bank of Scotland and the British National Westminster bank HBOS also belong to the same group, following the stock market Tuesday fell 10 percent after the market opened on the 17th also picked up again at the end.

U.S. bank Lehman Brothers in London, the City has over 5,000 employees, most of these people suddenly find themselves unemployed Tuesday. Market analysis pointed out that the U.S. is not the end of times by the storm, the estimated number of unemployed recent financial city will be close to 8-1000, their average annual salary of about 60,000 pounds, to the recent recession significantly reduced the British economy has a direct blow to the market Worse confidence.

Britain on the 17th China Federation of Trade Unions predicted that a year after Britain's long-term unemployment will be doubled. British unemployment rate currently at 5.4 percent level, to the end of next year is expected to more than one year will reach more than 700,000 unemployed people across the country the number of unemployed will rise to two million.

Tuesday released British inflation reached 4.7 percent, with 2 percent set by the official annual inflation rate vary Tatsu, at the highest level in 16 years. Bank of England this week sent a letter to British finance minister, warned that consumer prices soared as a result of the United Kingdom, the inflation rate may rise to 5%.

The latest UK inflation up to 14.5 percent of food, fuel price increases this year, nearly 28 percent, the user growth of 18 percent of electricity charges. Economic experts here have said that Britain is facing a 16-year life of the fastest growth since the consumer price index and an economic recession significant performance.

Real estate figures released this week also showed that, in the past one quarter of the sale of the National Housing rates are the lowest level in 30 years. Times by the crisis in the United States under the influence of the past six months, the United Kingdom very tight housing loans, the British property prices over the past four months consecutive decline.

350 in the British investigation of large enterprises, there are 2 / 3 of people believe that the financial credit crisis yet to come, and be prepared to face even worse prospect of even worse. A few days ago, the British entrepreneurs also warned that Britain is entering a more serious than expected economic recession, more severe credit crunch and financial crisis has not truly emerged.
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Volume of trading is honest

There is an old saying in the stock market: "the ever-changing technical indicators, trading volume is honest." It can be said that the size of turnover, directly indicates that the market Pupil both sides of the market in a moment the technical form of the ultimate degree of recognition. Here, the author of two kinds of comparisons on the typical scenario for some analysis.

1, moderate volume. This refers to a stock's trading volume remains in the doldrums in the early stage after the sudden appearance of a similar "Yamagata" moderate volume for the same shape. This volume form, known as the "quantity heap." Stocks appear at the bottom of the "quantity heap" phenomenon, the general can prove their strength in the intervention funds. But this does not mean investors will be able to intervene immediately, the general stock at the bottom after the emergence of a moderate volume, stock prices will rise with the volume, the volume of shares will be reduced when adjusted appropriately. Such adjustments are no fixed time model, at least 10 days while more than a few months, so at this time investors must bargain buying in batches, and in support of the reasons for buying has not been proved to be wrong, there enough patience to wait. Need to pay attention to is that when stock prices rose moderately heavy volume after the adjustment should not be lower than its previous low volume, because the adjustment, if lower than the main Jiancang cost areas, at least the market sell-off was also a great possibility of having to adjust higher.

2, sudden massive release. Analysis of such trends, it should be divided into several different cases to treat. Generally speaking, put up the process of multi-volume usually indicates the strength of the use of depleted, market outlook will be very difficult to continue to rise. The massive drop in the process of generalmostly concentrate on the last release, having the possibility to continue the deep or small, short-term rebound may be in front of the. Another contrarian situation is a big bang, a shout in the market when the sound of heavy air upside, resulting in a very eye-catching effects. Such stocks often have only 12 days of the market, then instead of accelerating the decline in the volume of many investors to follow up on that day goes to Colin Montgomerie, was locked.

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Stock should pay attention to the nine factors - stock pickers sea

From the medium and long-term point of view, the current stock market is still in the bottom of the region, in the stock when the need to pay attention to the following factors:

1. Select prices have been far below its historical transaction-intensive areas and the recent hold-up disk-intensive areas of stocks traded.

2. Select experienced a period of deep rate cut, prices on the 30th to stay away from the average line, deviate from the rate of deviation of the larger stocks.

3. In the course of the actual operation should pay attention to the cost of the distribution of mobile reference, when the cost of distribution of mobile disk profit of less than 3%, to the Unit as a priority concern.

4. "When re-up power, or when the quality." In a bear market or just to the end of the bull market transformation period, the stock should be concerned about the stock performance is fine, whether the fundamentals such as growth factors.

5. Select stocks with rich subject matter, such as: a high proportion of sub-themes to send to the new small-cap stocks.

6. Through technical indicators of stock, it can not just choose on-line indicator of the success of the stock bottom, and choose to focus on line indicators and weekly indicators, indicators of sync bottom line on the success of the stock, these stocks are often built at the bottom When the bottom of the historic.

7. From the volume analysis, stock prices bottomed out on the eve of turnover often remains in the doldrums, when the occasion of the general trend of stable, they have to change the basis of disk, choose a moderate turnover enlarged active species.

8. From the morphological analysis, in the bottom of the region to choose a long-term downturn to build a long time at the bottom of the form, shape uncertain stocks.

9. From the stock trend analysis, at the bottom of the market in the region, we should pay special attention to stocks in the leading indicator for the market to stabilize before the first start in the market, the first volume in the stock market should closely follow the observations, the next hot market in the mainstream tend to rise in such stocks.

It is worth noting: In the bottom of the regional stock to buy when they skillfully applied the contrary theory, stock analysts have repeatedly stressed at the bottom and most investors are often recognized at the bottom of just at the bottom of a stage, when not entirely Mancang orintervention, but also pay attention to timely profits. For example: the market in 2001 recognized the policy at the end of 1500 points. Only when the market has not easily made at the end or the majority of investors are afraid to hunters, the real strategic Jiancang suited to be the advent of the bottom.
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If you buy on a regular or a sell recommendation on the up coming to look at

Many novice investors friends often face such confusion in their hands stocks, often bought on or a sell on the rise. . . It seems the main staring at their own operation on the same! This is how to avoid, I have a few points below the view and operation of the proposed (simple):
To avoid a buy or not to operate on the following stocks:
1, to avoid pre-operation or too large variety of species such as the operation, and newcomers easy to commit large directional errors, the most damaging. How specific perspective, to open K-line movements, to observe the trend of the stock at what price from the start, after more than a long time. . .need ashould not be confined to a range of vision. Or too much stock, and newcomers not to memorable and greedy! (I myself have never read of such shares) the wrong direction, I am not guilty!
2, short-term or too fast, stock prices on the 5th from the average, high, average and prices in between the formation of a lot of space, do not buy a short-term, will face a short-term buy callback.
3, short-term or too fast, driven up prices rapidly on the 5th Move fast moving average, 5 and 10, between the average large open area at this time to buy, also occur on or buy a phenomenon.
4, the stock started to go downward after reaching a certain decline in the price range of the start of a consolidation, we should not think in the end stock price, and often fell relay it!
5, the stock is in decline, the average price down level by level to suppress this kind of stock, do not take it for granted that will not fall, many stocks are often the main force in the rise will come before a power vent, the rapid fall short period of time, From the last time the floating chips! So do not touch the stock!

To avoid a sale on the rise not to operate the following stocks:

1, the stock experienced a continuous long-term decline in share prices on the show from several multi-resistance, but they have all failed, and began to appear in the volume continued to enlarge the signs, so that the stock will not be easily thrown out, brewing market rebound , could erupt at any time. A single spark can start a prairie fire.
2, robust stock price steadily dependent on the 5th, 10-day average prices, volume and price with a modest, do not take it for granted that the stock does not move up at this time should be held so that the full growth of profits.
3, the stock rose in the channel, the stock surged to a certain extent, the emergence of a relatively high finishing sideways trend, many people think the stock peaked, and will be hurried out, in fact, only the technical forms of repair but often the formation of up relay!
4, the stock decline in the short term aggressive, far from the average price of repression, the middle has been formed relatively largeto, at this time although very bad shape, but to hold back, there will be a technical rebound at any time. Do not low!
5, the stock long-term decline, the recent re-emergence of the steep decline at this time need not fear, the stock rose precursor! Do not thrown out!
6, the market crash, all stocks have plummeted by irrational, this time not to rush out of stock, and it can not irrational panic out of all stocks, unless they technically remain high for the stock can be a different matter! Now the majority of the stock is facing such a situation!
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1/07/2009

To cover short positions to grasp the main points

To cover short positions after being locked in a passive response strategies, it is not a good way to release, but in certain specific circumstances it is the most suitable method. The stock market is not the best way, only the most suitable method. As long as the use of well-managed, it will come weapon; if the application may not be law, it will also become a hotbed of its own. Thus, in specific application of skills to cover short positions when we pay attention to the following points:

A bear market can not cover the initial stage. This is the reason why people who understand stocks, but some investors Callable Bull / Bear Contracts can not be distinguished from a turning point in how to do? There is a very simple approach: stock prices do not fall to its determination not to cover short positions. If the stock price than buying the lowest-five percent do not have to cover short positions, because any time intraday shocks may deadlock. If the current price than buying the lowest-20% ~ 30% or more, and even some tender shares were off, it could be considered to cover short positions, having a further decline in space has been relatively limited.

Second, the market has not stabilized do not scramble to cover short positions. Market in a down-channel or a rebound when they can not relay to cover short positions, because when the index fell further down the vast majority of stocks will decline with only a handful of strong stock market trends can be exceptions. The best time to cover short positions in the index at a relatively low level, or just when upward reversal. At this time there is huge potential for increases, decreases in the smallest possible, to cover short positions is safer.

Third, do not fill vulnerable stocks. Especially those who market it does not rise up, bigfollowed it down without. Because the objective is to cover short positions with shares later to cover positions ahead of a profit to make up for the loss of Mantle shares, since this need not limit themselves to fill the original quilt species. What varieties do not cover up the key, the key is to cover positions to get the greatest variety of profit, we should focus on this is taken into account. Therefore, to cover short positions to fill up on strong stocks, stocks can not make up for the disadvantaged.

Fourth, the early surge had not completed the super-black. History has many leading leader, issued a brief shining brightly, the then entered a long night of darkness. Such as: Sichuan Changhong, Shenzhen Development, China Jialing, Qingdao Haier, Jinan Qingqi and so on, they fell long after the fall can often deep deep down, after the bottom there is a deeper bottom. Smoothing investors such stocks tend to be more set up, and the deeper the more sets will eventually be caught in a quagmire.

V. grasp the opportunity to cover short positions to a successful. Subparagraph should not be covered, step by step to cover short positions. First of all, ordinary investors are limited, can not stand on many occasions by the smoothing operation. Secondly, to cover short positions on the previous error to make up for buying behavior, which in itself should not once again become the second error of the transaction. The so-called margin call level is for the buying behavior so imprudent defense several times to cover short positions, the more the result of buying more sets will be able to extricate themselves into their position.
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Must be big winners in the stock market? Retail money Art of War

Who says corporate big winner is the stock market? Retail on the doomed is the loser? Legends of the equity investments of the United Kingdom representative of a successful example of Jim? Slater (Jim Slater), advocated stronger than a laser beam shotgun, so he focused on the excavation ignored by the market of small growth stocks, and thus creating much higher than the market return on investment gains rate. Taiwan's "Money + fiscal home" magazine published in its September, made an introductory text, excerpts are as follows:

Year 1879, the British army and the tribal peoples of South Africa's Zulu Kingdom (Zulu Kingdom), the outbreak of the colonial and anti-colonial war. Zulu strength knowing the poor, and therefore to take the strategic focus of the raid, Hill was in Iraq ouanne classic battle (The Battle of Isandlwana), with spears and hand-to-hand combat knife, defeated the British army has a strong firepower to allow British troops since then more than half a year after a bitter struggle to get the victory, put the time and strength far beyond the original expectations. Because of this classic battle, let Zulu war and even under the "impact of the 100 world war", a book, in Africa's recent history with the history of the struggle against colonialism, the stay Next Legend.

Layman unique self-study the success of the stock market's Art of War

And the 20th century, a successful example of the British stock investment representative Jim? Slater (Jim Slater), his stock investment will be grouped into-force, "Zulu law", the main system is to emphasize in the investment market has been living in disadvantaged individual, Zulu must learn the same concentration of firepower in their own niche in selected areas of expertise so as to play to our strengths, and thus to defeat the large corporate and earn excess compensation.

Investment, the truth is the "information asymmetry of the carry trade," compared with those in the slow response of the retail, corporate investment information on the enjoyment of the speed, depth, accuracy and so on, so the retail level of investment performance is often difficult to defeat corporate. Retail investors also have had a profound recognition.

However, Slater's experience tells us that the money-losing retail Forever is not destiny, the inherent disadvantages, in fact, can be acquired through the efforts, as well as the appropriate investment strategy, be reversed, and then victory.

Accountants who Slater, 32-year-old (1961) began to interest on investment. He was employed by the British AEC companies, often travel abroad to negotiate business. A meeting in Spain, infected with the sequelae of accidents last several years, a disease, in order to tone the body, he converted to less physical exertion and it is trying to invest through the stock market, diversify sources of income.

The new darling of the media to make a comeback after bankruptcy

Zulu Slater investment rule of thumb is the stock market's main-force, but also the key to his comeback. Slater in 1963 ~ 1965 years, to the capitalists (Capitalist) as a pseudonym for the British "Sunday Telegraph" (Sunday Telegraph) column to write the stock market, the recommended portfolio reached 68.9 percent return on the same period, the British stock market index rose only 3.6%, he has fame and became the media darling.

His first partner of the cause of an investment Slater? Walker companies, through mergers and acquisitions in the stock market will soon become a powerful financial group, but the good times never last, because of excessive borrowing, but also encountered from 1973 to 1974 economic downturn and financial crisis , and in 1975 by the British central bank to take over, Slater became an instant billionaire millions from "negative Weng."

Subsided after 17 years, Slater in 1992 in order to best-selling book, "Zulu law" (The Zulu Principle) again in 1996 ~ 1997 investment Black Leisure companies, shares in the 17 months rose by 50 pounds to 549 pounds, profit up 10 times the mass market a much-told tale, the then 68-year-old than he had earned before bankruptcy than wealth.

Zulu effective rule Taiwan market

Taiwan corporate transactions in recent years the proportion of increase was significantly less than the past, retail investors are facing growing pressure of competition, just as the British army was facing the border, like Zulu. Taiwan's listed companies to small and medium-sized mainly counters, including small growth stocks, Slater Zulu therefore considers that the rules in the stock market works.

Slater music lovers in Taiwan ─ ─ Lu Zhang, director of investment team to invest in order to come to experiencepointed out that the law revealed by Zulu investment concept is indeed very suitable for Taiwan investors, especially the accumulation of wealth in the stock market wants to small retail investors, as well as a fall those who want to make a comeback after.

"Slater of the many concepts and details of our operations in Taiwan's stock market has the highest guiding principle and discipline. He focuses on investments in small growth stocks, and our team fully focused on the Taiwan stock market, and only focus on counter-hing, OTC, focus market capitalization of NT 3.0 billion the following, and business must take the growth of the Taiwan Strait shares, all investment growth is thinking only asked. "

Slater saidfor instructors, the Special Trustee of the last year to the United Kingdom old bookstall everywhere find only buy out of print of the original book "The Zulu Principle". However, he reminded the people of Taiwan, the United Kingdom, Taiwan is different, different eco-industries, for Slater revealed in his book on the stock can not accept the quantitative criteria.

More than 100 years ago, the British Conservative Party leader was painful to admit that "only the use of Zulu spears and, was recognized as the world's first British infantry under the hail of bullets, more than once to break up the British team, even British forces rout "; 100 years later, if the knowledge of Zulu law, even in the face of plenty of money, information sufficient legal force, retail investors can still win the wealth for themselves.
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Shares surge to capture the 32 formula

Jian is the main compass prices plummeted and dynamic monitoring system, timely rain band initiation and 2:40 stock system designers, inventors. He produced a well-known to capture shares soaring 33 formula, it is with all the lecturers, analysts and users to share.

Volatility in four-way,

Top or bottom, or to distinguish between;

Start the first day of rally,

It is the seventh-inch Hydra.

To choose on the first day of the election,

Shortly after the operation to increase the volume.

There is continuous incremental drama,

Continuous shrinking abandoned.

Volume also look at technology, and

Watching to see support for the resistance.

The more recent the more practical support,

Vietnam rising farther resistance.

After depends on morphology,

Head-shoulder at the end of the right shoulder is crucial;

Right shoulder to start the first day

Neckline below the warehouse building;

Breakthrough in the neckline as effective,

Post-up space.

"Band master" Look wave-shaped,

are taking five waves.

123 is increased by waves,

Lang Lang is the third explosion.

Start the first day of the three waves,

Prudentdare.

Decisive battle to get a major,

Start looking for stocks where plate.

1 Unit Synthesizer difficult start,

Similar 3 stocks into a plate.

main plate,

Decisive opportunity will come.

Plate surface to find leader

Easy big themes shares soaring.

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Hailun main approach

Hailun main the most commonly used methods are: 1DavidCang, 2 rolling air, 3 changes in costs, 4 guide, 5 position, 6-set, 7 synergies, 8 antagonistic.

First,DavidCangmeans and purposes
The main wayDavidCangthe following:
1,JiancangDavidCangstyle. A major one is very optimistic about the species, there is a bargaining chip in the circumstances, the use of a clear market trend than a downward trendDavidCang, characterized by price run regularly and measureless, Japan and the micro-movements against the disc features (otherwise Tatsu Less than Jiancang purposes). ?)

2, cleaningtypeDavidCang. Some of the main rise in the official launch ago, in order to reach a finalJiancang with the purpose of cleaning the use of short-term trend of rapid decline, which is characterized with the news or on the final trading hours for an hour down the volume.

3, antagonistic way for airDavidCang. The main market is not up space in the market or the market for air background obviously given prompt background, the main point in the absence of clear profit would be massive for the space, in order to release earnings after the potential of space, the space for the main purpose is toshot (at this time will be strong rebound) and the index hit low (nothe emergence of the market take a long time to deal with the sideways or weak rebound).

4, rich experience of institutions in general do not easilyDavidCang, because there will be transaction costs as the loss of short-termnotDavidCang. But the new body comparedDavidCangpreferences. The results also no reason the main reason of the loss of a large number of transaction costs.

Second, a major role in rolling empty
Makers in the completion of the main low after the Department of Jiancang, the key is to make the stock price from the cost of the district, when the need for rolling air operation, the operation of rolling space above the main trading hours compared with the week-prone over the weekend, and in opening an hour before the transaction, Apart from the cost of outside, many major institutions have the following purposes, such as chips continue to gather
1, long-term repeated shocks in the low box unpopular stocks and let the market speculation that subject.

2, fundamentals or news of the occurrence of a major turnaround gradual and subject matter.

3, long-term follow-channel stocks rise in shipments last cicada crazy change.

4, entered the market latemarket indicators.

5, was re-sets demolitionto release new funds.

Third, changes in the cost of transportation methods used primarily for long-term disk
Such shares generally in the low to hold sufficient chips (60%), the main force in order to obtain information outside the arbitrage costs and save transaction costs, the general law to take up the baton shocks or by external funds pushed share prices to make their own the cost of the same or lower price, while other investors hold the stock purchase price rising cost of long-term changes in the future Makers smooth out the premise. All this point to make badcan easily change the short-term long-term, contribute to long-term change.

Fourth, to guide the main way of thinking
Portfolio investment is a highly confrontational activities, it can be said of investors between the interests of strong competition, and therefore need to feel in the disk, the technical indicators prompted, the media information guide opponent implied by their own purposes operation, For example,guide, locks raise guidance smoothing guide. An operator instead of the level of quality reflected in the market and guide the key technology and experience to guide technology needs of the overall consistency of the use of individual isolation technology results in general, the share price was not low long-term vision, the image of the stock market Once so bad, it can be said there is no way the short term.whether to follow the trend of big capital and small and medium-sized financial needs more practice in that regard with the increase in anti-guide means is a long-term target tracking stocks and shares the goal of all the changes recorded for analysis. ?

5, positioning the psychological advantage
Large funds the whole process of the operation mainly in the following areas: 1. Low Jiancang, 2. To raise stock prices, reinforcing the same message 3 high, 4. Cash honor. Many big funds that simple for Zhuang rush into battle, resulting in Jiancang very simple, very easy to try for (according to trading board buy), the later can not be shipped, the "bubble intohusband and stock market speculation into shareholder" phenomenon . Makers to good stock pulled high, the use of stocks of materials, hot, linkage, industry, performance, equity and other means to expand the market shares of the subsequent recognition of a better, so that people may not lose their money's situation, the top software, Zhongguancun, the operation can be said to be more successful. Set to follow the trend of fraud in this regard is to strengthen the preventive measures on the target market shares cost analysis and tracking. 

Sixth, set-style by raising and prevention
Stock market investors pattern is repeated whenor stock market activities to observe the formation of a positive vision and action, set the pattern is to attract the attention of the market attracted buying, breaking ceremony is scheduled to ship in order to smooth. The main pattern are: 1.order pattern changes, in order deliberately hung out in particular the sale of a large single. 2. Disk small price changes pattern (closed out with long lines on the Shadow K Line), the most typical is leaked lights (Nanfang Securities). 3. Calorimeter with pattern and form, and deliberately to make the so-called-for-Zhuang shape and form of low volume. 4. Plate hot-set target stock glorious concept of adding a certain hot spots.

Seven, the usefulness of collaboration
Main group synergies mainly refers to the main part of the Super arbitrage in order to better improve the efficiency and the adoption of a joint front, the overall planning, to achieve the hot planning, non-conflict Jiancang, push or shock, cover shipping and other aspects of space沽压coordination, the most common means of collaboration are:

1 toor volume as the leading trend in the development of synergies.

2, hot stocks, there is a similar synergy hot topics. ?

3, use of indicators shares B shares with major reversalssynergistic cover.

8, inverse operation of the key
Inverse operation of the key agencies operating profit, mainly inverse operation of the following:
1, the index antagonistic, mainly fear and hysteria antagonistic.
2, news antagonistic, which include high and low positive antagonistic antagonistic bad.
3, the cost of antagonistic, which is far away from the cost of making arrangements for the most easy-to-use method.
? 4, operation antagonistic, given the direction of small differences, to induce investors to operate in the opposite direction, for example, a pre-Jiancang shares, closed up red when you are given four percent of the difference, if you do not sell, trading shares also fell, the next operation will be sold for you.
Technical proficiency and increase the need for intellectual talent and diligent practice. Can not necessarily read chess champions, readers do not expect to win a tricky move. Investment in fruit-sheng was the first real need to constantly hone and master learn to reflect the book knowledge into instinct, and the second will need to be carefully observed study of the market with their rivals, the timely detection of their operational profits point targeting vulnerable enemy offensive
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10 stock market classical

First, speculation is as old as the mountains

This sentence I was from the "hand of stocks for the memoirs of" see, every time I read all this in my heart it, although a short sentence but speculation Road to do the attitudes of the market, I seem to see long speculative long struggling people, including the authors of speculative himself after the failure of the speculative nature of the game will not change, human nature will not change, greed, fear, despair, ecstasy, and the outcome is often in the beginning when already doomed.

(If you follow the band to the center line for the definition of speculators, and the use of homeopathy for the transaction, and that the results would not be as hopeless. Those who have always tried to overcome by virtue of their small market smart idea, sooner or later the market will be merciless The eaten. only really know how to coexist with the market resonance investors, and ultimately the market will become a long-term winner.)

Secondly, I prefer the disposable people to pick up my

This seems to come from China, "Huo Zhi Biography Records of the Historian", "Huo Zhi Biography" contains a wealth of ancient Chinese private sector financial management thinking, "I prefer the disposable people, the person to whom I have to." Sima Qian was a surprise move as an important strategy in the stock market, I suggested that it would be "I prefer the disposable people, the person to whom I have to." as a basic way of thinking to use, more than in this way to think about problems in order to maintain vigilance against all kinds of predictions, and efforts greedy when others cautious, while in others when fear bold.

(This is typical of the opposite theory to understand, but that needs attention is the contrary, the theory is not applicable at all times.)

Third, rely on the confidence to buy, hold on patience, sold by the determination of

This is my early look at a manual on public investment to see, that book has collected a number of maxims, and the baptism of time, I now keep in mind is this, three sentences to invest in specific investment behavior stresses the principle of simple, thorough, thorough review of their investment experience, almost all of the error also includes the three sentence.

(To achieve that investors should not only go beyond the ordinary people have a strong heart and will, but also must have on the stock market has been the essence of the sense of understanding.)

Four, only the shareholding in order to make a lot of money

Would like to make a lot of money in the stock market, stock holders the ability to make an effort to learn, regardless of whether you have the level of index, whether there is the level of shares, can you really make money is how the true martial arts holdings, how to stake Research indexreason to recommend the stock as, say a few words to understand the short-term improvement of the content easy, it needs long-term investment experience, the psychological quality and continuous improvement in the use of an effective way to control risk.

(This is a real element of the true meaning of the stock market, the stock market investment holdings in order to make a lot of money only, rely on adjustment of the city in a rebound scramble to increase profits and make up for losses, in itself has been the main force into the trap.)

Fifth, the long-term enterprise value of stock price decision

This is my theory of the research value of the investment after a brief summary, after nearly a decade of investment practice, I feel that in order to study not only maintain but also to maintain a normal stock that they must set high and low stock prices on the criteria, even if you are using some simple criteria for judging it does not matter, it is important that you must have, you are on the market price level can not depend on whether the views in the upper and lower cost of funds, otherwise blindly superstitious large capital strength, If you are the main reason for the transaction of funds from the large signs, you can not concerned about the price, but not the transaction, you can easily buy into frequent, and because you do not have their own stock or low standards, it may lead to you often to follow those in fact, many individual with the same stupid big money in the stock market in general those who found value in value as the starting digging up the big money easily successful, it be easy to achieve profits, capital alone out of an attempt to control the market value of rampant speculation Finally, the outcome will not be promising, the stock market more mature, the more obvious this point. Supply and demand to create short-term fluctuations in prices, the intrinsic value of corporate long-term fluctuations in the direction of the decision.

Six, do not easily predict the market

To determine what level of share price to reach more than the projection of how long it would arrive at a certain level of easy. No matter how the forecast acquired skills, to accurately predict short-term trend rate of over 60% of it is very difficult, if you always try to stop the wrong out of the market, not only lose your money, but will continue to undermine your confidence, I think we should start from the fundamentals to find some long-term potential of the stock price, combined with a number of technical methods of proper control of risk as far as possible to live long-term holders of stocks, and for the long-term market movements to give a contour-based assessment. (Dow has long been the definition of the market day the unpredictability of clutter, only to grasp the trend. But the human smart aleck, leaving things to chance, greed fear weaknesses, all the time not to send away those who are weak in the mind of the people are constantly repeated the mistake. For example, the market now total some people, every day the market the next day, week or even every day ahead of the trend had been painted out of you, I really admire their imagination.)

7, the stock market fell like a month of storms is a normal phenomenon

This is's "victory over the Wall Street" in the sentence, "In fact, the stock market dropped like a month of storms is a normal phenomenon, if to be prepared, it will not hurt you. Each fall is a great opportunity, you can be selected by the storm to scare away investors to give up cheap stock. "I think this sentence is the image illustrates the cyclical nature of the stock market, people in the spring, summer, autumn and winter in the reincarnation unknowingly, while shares Change the market are often surprised, in fact, the stock market Change how the normal ups and downs, but our market is too short and sometimes it's spring, winter is too long, I would like it to stay in the northeast of people accustomed to understand it does not would be too difficult.

(New investors came to the stock market only start to look for risk, in order to live a long time. Stocks up and down, up more than down, or more will go up, this is the nature of the stock market.)

Eight, as simple as possible

This is a technical analysis of the U.S. expert John Murphy's "shares () technical analysis of predictions," a book repeatedly stressed in the introduction of a word, he means is the use of technical analysis of the time "as simple as possible", I understand the so-called as simple as possible is to grasp the core idea of using, such as the formation of short-term irreversible trend once. Stock shares, such as led to the election. In my practice, often remind myself to make their own investment philosophy, investment principle is simple, simple things will become clearer on their investment behavior is bound by a strong change, and it does not meet our principles *** things so they are prone, such as the Forrest Gump general, plain implication of the simple pleasures of life and true wisdom. (Only simple technology in order to be accepted by ordinary people, complex may not be practical. But to use the same technology many people, in fact, the success rate of warfare will naturally lower. Therefore, the open market has been the technology, if not through their own amendments and refined, most of its signals are wrong.)

9, continuously reduce transaction

This is from my numerous mistakes and lost money many times to understand the word, Buffett has said that "money here flows from the active investors have the patience to investors. Many" energetic "and aggressive Heart investor wealth gradually disappear. "In fact, no matter what your philosophy is to speculators or investors, this statement applies to all. Reduce your error on the start to reduce transaction begin.

(Frequent short-term transactions, the general stock market investors to invest the outcome of the inevitable failure. Because of frequent short-term transactions, will make you every moment of the holding costs are relatively high in the market, once the market is changing its stance, your losses will be terrible, believe that 5.30 is a very good witness and the lessons learned. Moreover, the stamp duty hike, the transaction costs also increased by 0.4 percent, the sale of a combined total cost of more than 1.2%)

10, stay away from the market, away from the crowd

"Rabble," a book stresses: the accumulation of the crowd is ignorance, not innate wisdom. Stocks of mind with you and the crowd is inversely proportional to the distance, do not recommendation stocks, less to talk about stocks, and the market keep a distance from the crowd with the daily price fluctuations and we should try to distant points, not to let the market drive mix you already clear transaction concept. University of times seen a Japanese pamphlet how to appreciate the joy of solitude, I like the book perspective, loneliness is a special kind of strength, if you feel a sense of loneliness and is happy, then congratulations to you, your mind is powerful. The noise in the stock market is the most should be a place of loneliness and isolation. Only then can certainly know, and then set to quiet, static and then to security, security and then to consider, and then to have to consider.
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To cover short positions to grasp the main points

To cover short positions after being locked in a passive response strategies, it is not a good way to release, but in certain specific circumstances it is the most suitable method. The stock market is not the best way, only the most suitable method. As long as the use of well-managed, it will come weapon; if the application may not be law, it will also become a hotbed of its own. Thus, in specific application of skills to cover short positions when we pay attention to the following points:

A bear market can not cover the initial stage. This is the reason why people who understand stocks, but some investors Callable Bull / Bear Contracts can not be distinguished from a turning point in how to do? There is a very simple approach: stock prices do not fall to its determination not to cover short positions. If the stock price than buying the lowest-five percent do not have to cover short positions, because any time intraday shocks may deadlock. If the current price than buying the lowest-20% ~ 30% or more, and even some tender shares were off, it could be considered to cover short positions, having a further decline in space has been relatively limited.

Second, the market has not stabilized do not scramble to cover short positions. Market in a down-channel or a rebound when they can not relay to cover short positions, because when the index fell further down the vast majority of stocks will decline with only a handful of strong stock market trends can be exceptions. The best time to cover short positions in the index at a relatively low level, or just when upward reversal. At this time there is huge potential for increases, decreases in the smallest possible, to cover short positions is safer.

Third, do not fill vulnerable stocks. Especially those who market it does not rise up, bigfollowed it down without. Because the objective is to cover short positions with shares later to cover positions ahead of a profit to make up for the loss of Mantle shares, since this need not limit themselves to fill the original quilt species. What varieties do not cover up the key, the key is to cover positions to get the greatest variety of profit, we should focus on this is taken into account. Therefore, to cover short positions to fill up on strong stocks, stocks can not make up for the disadvantaged.

Fourth, the early surge had not completed the super-black. History has many leading leader, issued a brief shining brightly, the then entered a long night of darkness. Such as: Sichuan Changhong, Shenzhen Development, China Jialing, Qingdao Haier, Jinan Qingqi and so on, they fell long after the fall can often deep deep down, after the bottom there is a deeper bottom. Smoothing investors such stocks tend to be more set up, and the deeper the more sets will eventually be caught in a quagmire.

V. grasp the opportunity to cover short positions to a successful. Subparagraph should not be covered, step by step to cover short positions. First of all, ordinary investors are limited, can not stand on many occasions by the smoothing operation. Secondly, to cover short positions on the previous error to make up for buying behavior, which in itself should not once again become the second error of the transaction. The so-called margin call level is for the buying behavior so imprudent defense several times to cover short positions, the more the result of buying more sets will be able to extricate themselves into their position.
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1/06/2009

U.S. investment migration trends

With the 2007 crisis in the United States substandard produce, the U.S. economy be affected, the Government has been the relaxation of U.S. investment policies and to increase immigration quotas, hoping to attract more foreign funds to help the development of the U.S. economy, which EB5 means the United States for investment immigration applications will be much easier and faster.

Because the United States investment immigrants with a certain degree of risk, therefore, many investors still holding a wait-and-see attitude, the United States compared with people who were investing in strategic vision for the investment project has its own risk awareness applicants. In future, less risky, with a rate of return on investment, a successful investment projects initiated by the management company will be more investment immigrants by investors.

Meicheng Tatsu Information Service Co., Ltd. SUSAN immigration experts predicted in 2008 by the American Life Limited launched Seattle Sodo area of investment projects will be a gradual migration by the Chinese investors Green ignorant. There are three reasons, first, about 50% of the investment customers are local residents and U.S. funds, their investment is not the purpose of obtaining immigration visas, but to obtain a stable return on investment; the second is by far the company has successfully operated the 35 projects and a large number of investors to settle the conditions of the lifting of the success of a green card case; The third is by the world body the authority to investigate the risk of D & B D & B as a "minimum risk" level.

The investment project can be said that immigration is a real sense of the word "investment" because the United States immigration law, no person shall make a return on venture capital will be abolished visa otherwise secured, so investors can invest in a large number of immigrants make the appropriate projects choose to go to avoid investment risks.'
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