4 Comments
User's avatar
Travis Wilkinson's avatar

My portfolio loves it... keep giving me 52 week lows and 30% discounts on 5yr P/E averages!

Pat's avatar

Or, be in energy and commodities. GSCI/SPX ratio is pretty clear on that.

Ignatzius Turret's avatar

My portfolio was just down about 3 or 4. Now, I can't even see any difference to the situation before the software sell-out. Only difference is that I own a lot of Oracle shares... ๐Ÿ˜‚๐Ÿ˜‚๐Ÿ˜‚

BelleDividends's avatar

I am heavily invested in REITs.