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Strategies & Market Trends : A.I.M Users Group Bulletin Board

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From: OldAIMGuy3/5/2025 7:30:41 AM
   of 18927
 
Two months into 2025 and the markets seem a bit confused so far. Here's the various portfolios I maintain:

U.S. Sector ETF Composite Portfolio of 10 business sectors

(18% current cash reserve)

10 Company Stock Composite Portfolio

(22% current cash reserve)

Tom's Simple IRA, Now managed with AIM

(23% current cash in reserve)

9 International "Style" type ETFs covering Growth and Value in Small, Mid and Large Caps

(27% current cash reserve)

These portfolios were basically flat for February. The first two days of March haven't been very friendly with the exception of the components of the International Style ETFs. They've been holding up better. There's not much action as of yet, but there's cash available should we see a healthy decline. In the meantime, I'm keeping some powder dry.

Best wishes,
OAG Tom

Buy from the Scared; Sell to the Greedy.....
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