Wednesday, March 2, 2016

Portfolio Update - March 2, 2016

Sold 500 X @ 9.90
Bought 350 BAC @13.15

Update -- 2:24pm

Sold 1500 CHK @3.40
Bought 450 BAC @13.29

Update -- March 3, 2016, 2:37PM

This is what it looks like right now. 30%+ gain in less than 2 weeks, all due to the recovery in Oil and Commodities.

I will look to reduce some positions over the next few days, and diversify into other less volatile names. That way we can lock-in some gains, buy some good stable dividend-paying companies, and wait for the next big opportunity.


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