% of Portfolio Allocation Clarification
Hi James and the team, I'm seeking some clarification on the % of portfolio allocation of a stock. Given the following scenario: Portfolio value $100,000 Previously bought stock XXX 5% $4,500 (Portfolio value was 90k) XXX now worth $5,500 (5.5% of Portfolio) MM instruction is to reduce XXX to 4% from 5% Do we sell $1,500 of XXX to make it $4,000 (4% of Portfolio value)? Or 5% -> 4% is a 20% reduction - Sell $1,100? Also, can you explain why you hang on to stocks like PDN (-49%) and MIN (-51.47%) when they have fallen so far? Regards Nick Stanley