What? Who cares? I've never made it a secret that my APT holding is substantially larger than my Z1P. Or that I sold 2 parcels of Z1P to chuck into PLS, TPW a few months ago. My portfolio allocation directly reflects my view of the companies I invest in. The fact that I hold Z1P means I see potential. The fact that I have much much more in APT reflects my believe APT is the better longterm hold with lower risk. So far so good. Let the haters hate.
Now back to the thread, do you have an exit strategy?
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