5.5% for me - on paper - didn't sell anything and didn't buy anything. I bought on the way down in the tech bubble EXPLOSION in 2000 and got burned being smart!
I've learned - potential for gain based on previously attractive stocks does not always materialise after a 'correction".
I'm going to sit for a few days and watch this unfold eventhough I am confident this was a temporary abberation made worse in spec stocks by so much gearing and stop losses triggered.
I might miss a few % on the way back up but I'm not going to miss a few % if down keeps going in next couple of days.
I have a diversified portfolio. Those "earning, stable companies that gain a half percentage point or one percentage point a week did not suffer much at all. Maybe off about 1.5% today on average.
I've also got some high growth companies and they came off about 3-6% but my resources and specs came off 5%-11%.
It's pretty typical of opportunity for gain though.
good luck to all,
R
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