I don't know what to do, so far I could do the following:
1) Hold everything and see what our market is like in 12 months.
2) Sell some and put it on my mortgage; save 8% :)
3) Sell some and put what I've sold into Gold Bullion Limited (GOLD), and hope that I can recover my loss over time with that.
3) Sell everything except BHP.
AGO 800 2.550 1.550 -39.22
BDL 5,500 0.265 0.310 16.98
BHP 250 22.230 33.290 49.75
CNM 10,000 0.185 0.270 45.95
DIO 1,001 2.215 1.550 -30.02
FDL 65,000 0.061 0.110 80.33
KAL 20,000 0.240 0.170 -29.17
MDX 21,000 0.140 0.115 -18.00
MHL 45,000 0.041 0.026 -36.59
RAUO 10,000 0.090 0.056 -37.78
STO 112 8.986 12.620 40.44
TAP 1,000 2.100 1.715 -18.33
WDC 77 14.670 17.800 21.34
WMT 10,000 0.190 0.100 -47.37
If I was to sell some I am thinking of selling:
BDL, MHL, RAUO, STO, TAP, WDC, WMT.
I would hold onto AGO, BHP, CNM, DIO, FDL, KAL and MDX.
Any ideas?
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