My portfolio is actually green today. I was surprised at the lack of large declines on my watchlist this morning. I did a bit of a clean up after the early-Feb dip and it looks like I've ended up with a much more resilient portfolio.
I'm big in VEC and glad I didn't sell out this morning. Has held up well and now green, but won't at all be surprised to see it end the day even or red.
I managed to sell AYR on the open at 1c (which I wasn't expecting to go through). Held from 0.6c so I'm happy with that gain. If it goes lower I might look to get back in, but probably won't buy back any higher.