My biggest losses on all of my holding thus far (percentage wise), with the exception of EDIT, have been Ford and more specifically GE. These are the only positions that I am consistently losing on but I honestly feel like they are going to recover. Am I crazy for thinking that?
I'm down 11.8% on GE and 16% on Ford. I could sell both and be happy to just write it all off, but at the same time I just have a gut feeling that both are going to recover. Selling them off would element that largest loss factor I have in my personal portfolio.
I'm just very conflicted on what I should do at this point and wouldn't mind some input from the people in this sub.
Submitted August 17, 2018 at 05:54PM by Infin1ty https://ift.tt/2nLo6Rp