Lets say hypothetically, you purchased 25000 shares in company XYZ. You purchased it for 0.25 a share. Say it climbed to 2.50 in two months. Than it dropped to 1.95 in two weeks. You stay strong, and it climbs to 4.50 in 3 months than it drops to 4.25 in one month. What would you do? What would be your deciding factors in selling, or buying more? What would you look at? Volume? Moving average? EPS, P/E, sector performance? This is a what if queshtion, so no smart *** answers please. Once I choose the best answer, I will give my answer, and an answer from a professional. Let see how you compare.
2006-10-20
18:49:16
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6 answers
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asked by
dkwr14
3
in
Investing