CBA, NAB, QBE, WOW, DCG, BHP, AFI, ARG, COH, CCP, ANN, IRE and CSL.
That's my portfolio. One would've thought a bit of diversification protects but...
Red.
All of it.
The retail investor like me makes up <20% of the overall market. The vast majority is made up of institutional players who manipulate it to their own ends, to the detriment of my crappy PF.
Just bought a new mattress. I'd now consider that underneath it looks like a much better place to stash cash than this rigged cluster*ck.