I have recently settled on a strategy where I pick big board stocks that I think are oversold, ready for a rebound, and with long term potential. If I've chosen well, I sell half of my position at a 30%-40% profit with the intention of holding the remaining 60%-70% for the long term at a safe cost basis, performance pending, of course. Pretty basic stuff, really
My current focus is on domestic onshore oil and gas. There are many good beaten down stocks in the sector and I believe that there is a winning lottery ticket hidden here in the form of significant future foreign supply disruptions.
How did you compile the list that you posted?
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