This week, I have significantly reduced my holdings due to profit taking as narrated in my November 2 diary. I also sold my CEB at a loss because of fear which I later regretted because I was able to tolerate a paper loss of 10% in my ALI and EDC but I immediately panicked in my CEB when it was just -7%. Perhaps I should set a certain percentage of loss on a position before I mechanically decide to sell at given ranges of ratios in my portfolio...
Here's my portfolio at the end of the week.
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