Q: Sorry another AYA question. I currently hold a 5% position in the company. When i read your answers to earlier quesitons on AYA I get the since that the potential down side is 50% or more, yet the upside is "slight recovery" to quote your words. The risk reward seems to be unfavorable now. Will you be cutting your weighting in your model portfolio, and would you suggest reducing weighting to 3% considering the risk/reward currently.
Thanks as always
Darcy
Thanks as always
Darcy