Q: Some of the stocks in my portfolio have been beaten up pretty bad, so much so that the downside risk has diminished considerably and the upside even with just a rebound, over the next year outweighs the risk. My energy exposure is 8% and the canadian financials is 19%.
Would you approve moving out of some steady eddies like BYD, DSG, ESL, MDA, MNW and STN and increase positions in ACQ, HCG, TOU RMP and BXE?
If you do approve are there any names above that you would not include in the rotation?
Thanks.
Would you approve moving out of some steady eddies like BYD, DSG, ESL, MDA, MNW and STN and increase positions in ACQ, HCG, TOU RMP and BXE?
If you do approve are there any names above that you would not include in the rotation?
Thanks.