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Strategies & Market Trends : Stock Attack II - A Complete Analysis -- Ignore unavailable to you. Want to Upgrade?


To: J D B who wrote (38201)7/21/2002 1:39:06 PM
From: Haim R. Branisteanu  Respond to of 52237
 
Just to go the old fashion way 50% to 555 stocks, 35% to 40% bonds and the remaining in CD's.

The risk in stock is that we may get another 10% to 15% adjustment in the near future. Would suggest to hedge the portfolio with out of money short term calls.

IMHO, shorting at this point would not justify the risk involved except very few special situations.

Would avoid RE for now.