So are all the technical experts here, selling a few to bank profit or is it solely a long hold waiting for an eventual breakout? And for us more fundermentally minded, do we just ignore the price action and hold long? Interesting questions, especially if you are heavily green like myself in both shares within my super fund and shares outside. I have a few capital gain losses that I could offset if I take some profit between now and EOFY, in my portfolio outside of super, so it's mighty tempting. Thoughts on gold price also factor.
Christopher
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