"Code, 12 month return
AMA, 204%
ALU, 869%
BGL, 100%
CAJ, 238%
COO, 460%
DDR, 78%
EAL, 129%
EBT, 135%
GXL, 145%
IFM, 100%
JIN, 540%
MNF, 522%
MXI, 174%
MWR, 124%
OCL, 204%
OTH, 102%
SDI, 120%
VTG, 168%"
This is from someones posted watch list 12months ago and his stated returns over the last several years have been decent. His watch list was similar to mine. My point is the opportunity cost can cost an investor quiet a bit.
Just some thoughts.
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