SI
SI
discoversearch

We've detected that you're using an ad content blocking browser plug-in or feature. Ads provide a critical source of revenue to the continued operation of Silicon Investor.  We ask that you disable ad blocking while on Silicon Investor in the best interests of our community.  If you are not using an ad blocker but are still receiving this message, make sure your browser's tracking protection is set to the 'standard' level.
Strategies & Market Trends : Gorilla and King Portfolio Candidates

 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext  
To: unclewest who wrote (15331)1/16/2000 6:00:00 PM
From: DownSouth  Read Replies (1) of 54805
 
Hmmm, with all due respect uw, I don't buy the balanced portfolio thing with bonds and foreign stocks, blue chips etc. That is a formula for mediocraty. That is the advice M/L will give and I won't pay for that advice.

I will be diversifying as I take money out of the market and purchase real estate over the next 10-20 years, and as (if) my portfolio gives me 2-3 more years of doubling, as I expect it will, then I will become more risk averse for a large part of my holdings.

It's a gamble, I know, but if I wasn't "retired" I would still be aggressive in my investments, so what's the difference, besides that fact that I can now pay more attention to my aggressive behavior.
Report TOU ViolationShare This Post
 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext