The problem I have is that I stopped buying at around the 30-40 cent mark as I was still reeling from the downturn and being ultra cautious on any rise. I would normally have leaned in a lot harder into the uptrend and increase my holdings but once bitten twice shy!!.
My current plan (which does change from time to time) is to sell a few along the way starting in the mid $3's and then every 50 cents or so. I hope to be holding over half my holding at $5+ if it gets there.
I have too much invested and really haven't minimised my risks too well so probably time to take a few sheckles off the table soon.
But it might also free up some cash in the event of a market correction in which case I could buy some or all of them back, or increase my holding in a junior with bright prospects?.
It's a very hard decision and hence I have a massive spreadsheet and hoping it will tell me what to do!!. But I have kept moving my target prices up in recent times and I find it very hard to put in the sell order.
But I guess I better ensure the house and the kids education is not at risk and I've been pretty patient up to this point - actually I should have taken part profits long ago but stoked to have held my nerve for a long time.
It would be great to see this market go absolutely crazy - which it appears to be starting to do now?.
I am actually hoping for PLS or AKE to get taken over at a large premium - then the decision is made for me and I don't have to think!!.
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$3.07 |
Change
-0.190(5.83%) |
Mkt cap ! $9.239B |
Open | High | Low | Value | Volume |
$3.19 | $3.20 | $3.07 | $96.53M | 30.85M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
41 | 815921 | $3.06 |
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Price($) | Vol. | No. |
---|---|---|
$3.08 | 309816 | 3 |
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No. | Vol. | Price($) |
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26 | 195171 | 3.060 |
50 | 157222 | 3.050 |
9 | 32502 | 3.040 |
15 | 74596 | 3.030 |
14 | 32496 | 3.020 |
Price($) | Vol. | No. |
---|---|---|
3.090 | 400231 | 3 |
3.110 | 17026 | 2 |
3.120 | 19982 | 6 |
3.130 | 28145 | 4 |
3.140 | 28903 | 5 |
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