I would love to have a shareportfolio based on fundamentals in the knowledge that I will get a good return - but hell who in the later years can afford a hit like we have had - if you had shares in good cos you could be down 10 - 20 30 40 -50% - we don't have that time left to trust the countless rogues out there. I would accept if the choice of companies was bad but if as a result of the shorting , manipulation - rather play with the one arm bandit.
As much as the younger set want to argue about this - the real estate market has not been globalised - thank goodness for that.
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