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General Discussions, page-2904

  1. 8,656 Posts.
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    Bought a parcel at 12.5c - so in red currently - may fall further near term but by this time next year should be a different story. Not sure how yours are faring with averaging and holding a larger amount, but if you're in longer term then hopefully should do well.

    DOW is a worry near term - pretty much portfolio seeing red right across the board as of last Friday - tomorrow may get worse??? Seems any excuse just to drive it down. If it falls too much, anyone with margin calls may be in a spot of bother. Perhaps BB may be able to buy back in somewhat cheaper?? GLTA. smile.png
 
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