GAWD!!!! There you go again! INTC, MSFT, SUNW, LSI yadda yadda yadda. What's going on? You should seriously consider limiting the tech exposure to your portfolio to something like 1/3 of the total (though I think 1/5 would be even better). So, for a change, look at the Campbell Soups, the Pepsis, the McD's, the Philip Morrises, and the 3M's of the world!
And while you are at it, maybe you can look at a few others too, like insurance companies, container companies, flavor and fragrance companies... In the longer run, you will be glad you did.
Dipy. |