Tuesday, July 21, 2009

My Portfolio, July 21, 2009

Here it is. With investments in Goldman Sachs, ING, GE, and Bank of America, I'm still overly invested in the volatile financial sector. Being in the troubled sector means huge gains---I'm enjoying a 35% return on just Bank of America investment in just 4 months. But it also means the potential for big loses---I lost 20% of my Citibank investment, made official after I dumped their stock. But even with that loss, I'm up 20% for the year.