Morning each. Well done, MrP, on even postive, let alone getting near to double figures. I didn't keep daily performance records until the start of March, so I can only give a 10 month performance. I will have to wait until the end of February to give a true annual figure.
Today is looking quite blue on my screen, apart from the one that really counts i.e. NFDS. I suppose the dramatic rise, on virtually no news, has to have an equal and opposite effect!
I will be away for 4 weeks, from the 10th Jan, so am wondering what to do. Do I just leave the shares to look after themselves, do I sell all those in profit now, or do I sell the lot, and buy back when I return? It matters not what decision I take, it's bound to be wrong. I have even tried making a decision, and then doing the opposite at the last minute- that didn't work either! Any suggestions? fh