Well done Timmy, you can cut and paste.
I bought MAG in the teens and sold 100% of my holding in the low 20’s.
I also sold out of AUL completely for a small loss prior to the merger with WRM, post the surprise double CR.
Soon after, I transitioned my portfolio focus to mainly LT holds with strong asymmetrical risk/return and few speccys.
I adapted my strategy after a period of chasing speccys with mixed success, purchasing an investment property and getting a promotion at work. These among other factors contributed to the changed approach and I now seek 12+ month holds for CGT benefits.
I would hope other investors would assess their portfolio performances on a regular basis and have the aptitude with the same lack of emotion, ego and attachment to do what’s in their best financial interest.
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