In terms of my share portfolio, BIG makes up about 75%, with the rest in a couple of tracker ETF's. I admit in hindsight it's way too much and I'll never do it again. I stupidly sold out of a few other stocks and topped up with BIG.
Luckily I also have a couple of investment properties and a decent amount in Super, so it's not the end of the world of BIG goes to zero. I've already planned for the worst and I'll be OK. Hopefully it doesn't come to that though. I still believe in the overall business model if they can sort out the current issues.
Observations on the annual report, page-80
Currently unlisted. Proposed listing date: 09 APRIL 2025 11:00 AM AEST ##
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