Back to Zero
July22
My portfolio is back to zero after a lot of fun with BP
. Reason why it is back to zero and reason why I will continue my policy of not holding any equity is I have serious doubts on the USA recovery, have serious doubts over the optimists of the Eurozones and also have serious doubts over the sustainability of the Chinese economy. The Baltic Dry index has fallen quite substantially for me to start worry about what will happen for the next 6 months to a year. Not conducive for investments.
I am slowly increasing my day trading activity as my health improves, but the above policy applies with regards to holding of equity.