This is how my equity portfolio looks on the long side -plus a stake in $RVLT-. I also have shorts in $NVDA and $NFLX, which -if we consider that $CEF and $TLT are pretty much like shorting the market-makes my portfolio 51% long, 1% in cash and the rest 'short'.
I'll hold this for the time being, watching the developments here onwards.
Good luck,
Ivan Labrie.
I'll hold this for the time being, watching the developments here onwards.
Good luck,
Ivan Labrie.
I closed $AMZN 2 days ago, and out of the rest, except for $GM and $KSS which I bought more of.