Q: I've had success buying good out-of-favor companies, especially in tax-loss season. In 2020, I loaded up on rate resent preferreds at very low prices (so the effective interest payments were good even if interest rates stayed low). This gave me optionality in case rates ever climbed. I also bought TOU and CVE when oil prices were extremely low.
This is for 5% of my portfolio, and is patient money. Suggestions?
This is for 5% of my portfolio, and is patient money. Suggestions?