I entered all my MC position around June. So that's pretty much my main entry point. avg is at 50 on my ac8 position. Will sell it between 5 and 10.
Smart is a simplification, it's risk. I like specific risk ratios.
Is somebody buying ZLD straight after their RTO of Gleneagle smart? or buying now smart at the ATH but still with no significant research results priced in?
Both a great buy, but risk ratio differs greatly.
This is why this is about long term and risk.
Are the people finding 100x in spec stocks smart? or just lucky? I think the smart person is the one that consistently finds 50%-100% returns a year average over 10 years.
Would one of those people ever share their opinion for free and portfolio for free? Why would such a person do that? Have they got enough they don't care? Or would there be some nefarious objective?
As usual, there is one thing and its opposite online, but it's a great tool for the best minds. Trust your gut.
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