
I am looking to get long after I sell off my short position (below S&P740). Currently I am looking at positioning myself with a bit of diversification and looking to hold long for a bit while keeping small short positions also. I will be buying in 2% increments. And balancing my portfolio into about 5-10% sectors with Financial, Oil, Tech, Industrials, and Biotech/Healthcare.
Buylist:
FCX DO RIG TS HESS CELG GILD JPM MS GS RIMM CSCO DE CAT FWLT


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