Here's the new list of what i intend buying this week...
Feel free to heap praise, or slag the guts out of my decisions....
Company.................%
HVST&YMAX...........12%.....For regular income streams
CAMPA.....................15%.....Income and Franking
WMK.........................20%....Insurance for any downturn
APL............................13%....Cause I like management.
PAF............................8%......Exposure to Asia
GVF............................8%......Like their financial investments in Europe
8EC...........................8%......Roughy in Emerging Companies
HML..........................8%......Another Roughy with nice divvy , priority to new listing
WLD..........................5%......High Risk that i hope re-bounds, tight stops, Gamble.
Ill keep a fair whack of cash for upcomming Trump led buying opportunity's.