I have a mixed portfolio. CVI represents a healthy 25%.
I have cashed in some long term holds ovr the last few months. They were AGM & IDO as i had held them from 30s and 20s respectively. I feel that they wont make much more ground in the next 6 months which really is crunch time for CVI.
As for an exit strategy, well i like to keep those cards pretty close to my chest. But will try to go freehold with 1/3 of my current holding which will leave me pretty much with 2/3 of what i have now. I will keep the prices to myself for obvious reasons.
Trying to keep low risk, but with some sex appeal to my investing.
CVI Price at posting:
0.0¢ Sentiment: Buy Disclosure: Held