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Strategies & Market Trends : Gorilla and King Portfolio Candidates

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To: Apollo who wrote (35626)11/29/2000 11:36:57 AM
From: Boa Babe  Read Replies (1) of 54805
 
Portfolio - 2000

QCOM 47%
JDSU 22%
GE 8%
SEBL 8%
MARGIN 8%
IBM 2%
CSCO 2%
NTAP 2%
MSFT 1%

Biggest mistake was not recognizing the euphoria associated with being fully invested during the biggest bubble I will probably ever see. However, having missed selling at the top and buying back in at the bottom, I have slept well this year in spite of the market's volatility. I am certain my peace of mind is the result of association with this thread. The end result of hanging in is that my portfolio is up again this year, a total of 6%. I'm pleased.

Thanks to everyone for sharing and to Apollo for making sense of it.

K~
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