lol I am not smart enough. I have minimal exposure to plastic (oil derivative but also commodisied). I have oil/gas/coal exposure. I have tobacco. I have exposure to Chinese state controlled listed companies through the hong kong market. All these positions created in 2021 before it was popular to do so.
lol I have just about everything that an ESG fund says you shouldn't hold. And that is what is generating me returns into 2022. 15% returns so far for calendar year 2022. + an overall macro put on S&P500 (Dec monthly) for some portfolio 'insurance' which somehow is also making me a positive return. (given its an insurance contract I should be loosing on this to make on the portfolio, but its also in the black)
Maybe its just my year.
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Last
$3.43 |
Change
0.000(0.00%) |
Mkt cap ! $6.313B |
Open | High | Low | Value | Volume |
$3.43 | $3.46 | $3.41 | $32.20M | 9.377M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
4 | 179811 | $3.42 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$3.44 | 42942 | 3 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
1 | 15818 | 3.410 |
4 | 17008 | 3.400 |
4 | 34686 | 3.390 |
3 | 19586 | 3.380 |
3 | 22082 | 3.370 |
Price($) | Vol. | No. |
---|---|---|
3.450 | 700 | 1 |
3.460 | 50583 | 6 |
3.470 | 84032 | 6 |
3.480 | 98478 | 9 |
3.490 | 20619 | 2 |
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