Haha. Yes very risky. Originally a2 was 10% of my portfolio. In 2015 I topped up at 46cents (NZD) and watched the SP explode until it accounted for 50% of my portfolio. Then in late Jan last year I saw the writing on the wall and sold up the other 8 stocks I held and went all in on a2 at $2. It was 100% 0f my portfolio until about October last year when I picked up GMV and LPI. So I sit at 96% today. With the way the SP is headed I'm sure it will be back up to 98/99% within 24 months. Until a2 management give me a reason to sell I remain in an ocean of risk with complete confidence.
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---|---|---|
2 | 38098 | $5.59 |
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1 | 3788 | 5.570 |
2 | 3656 | 5.560 |
8 | 10076 | 5.550 |
2 | 4500 | 5.520 |
Price($) | Vol. | No. |
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5.620 | 2000 | 1 |
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