01-02-2018, 11:05 PM
Depends how we look at it.
Overall the best I had in my portfolio has to be RTN, though I've owned this company for a number of years. If we look at companies that I started buying in 2017, then AMAT has to take the cake. And while I've owned AT&T even before 2017, I'm sure that my decision to add more T at a price below $33 will bear fruit in the coming years.
Worst: This is easy. No matter how we look at it, OHI. It's the only one in my portfolio that is currently showing a loss. But I don't mind owning OHI, in fact I'll probably add a little as long as the price stays low.
Overall the best I had in my portfolio has to be RTN, though I've owned this company for a number of years. If we look at companies that I started buying in 2017, then AMAT has to take the cake. And while I've owned AT&T even before 2017, I'm sure that my decision to add more T at a price below $33 will bear fruit in the coming years.
Worst: This is easy. No matter how we look at it, OHI. It's the only one in my portfolio that is currently showing a loss. But I don't mind owning OHI, in fact I'll probably add a little as long as the price stays low.