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Originally Posted by Vagabond47
Surely 80% of that %5 is concentrated in the E & F grades? so if you avoid those can we reasonably expect <2% loss in the better grades (A-C).
<2% loss sounds Reasonable if you stay A-C, and Harmoney don't let the quality drop, and you keep having the Goldilocks economy continue etc...
Myles has shown he can buy better overall RoI with greater risk tolerance. He's definitely into Ds and some Es, probably like cool bear
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