Originally Posted by
SylvesterCat
Will admit that I sold out on Friday as a stoploss - about a 25% loss, overall, the only serious red ink on my portfolio dammitall. My original research said the long-term fundamentals still should be good, but the company seems to struggle to turn that into actual bottom-line growth. A few more negative macro signals now floating around as well. Will look at again if it reprices significantly.
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