I don't sweat it that much. Most of my portfolio is in Exxon Mobile and Google which I bought in the initial IPO. I am all about long term growth versus short term potential. I have made some terrible stock decisions in the past but I am still out of the red. My wife's portfolio is heavy with gold and stock in Pepsi. She outperformed me last year (because of the spike in precious metals) but I am going to prevail this year.
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