@bumskins:
As a general principle I try to run to that across all companies.
It does mean I have a very wide portfolio but quite a few a kind of set and forget - long term solid stable units that require little day by day, or even week by week attention.
However some (PRR CCC DML VMS CSV BRM and recently, now gone, NKP) need much closer attention - they are the fun part of my portfolio which I treat almost as a hobby rather than a job.
It definitely does limit my gains when there is a good mover in there, but equally it minimises my risks too. I have dumped many more companies than I'm in and those ones collectively account for about 30% of my portfolio gains which currently stand at 57% over 2 years.
A situation I'm more than happy with as I only started investing just under 2 years ago.
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