Q: In your last portfolio report I note that GIL is at a 1.36% weight.
If/when/or should the share price begin to recover post Covid, what fundamentals/metrics will be key to you increasing your weighting in the portfolio, if at all?
If/when/or should the share price begin to recover post Covid, what fundamentals/metrics will be key to you increasing your weighting in the portfolio, if at all?