I have some of my portfolio in Intel and Microsoft that I bought after the crash in 2000, figuring they were at the bottom.
Here we are 5 years later and they haven't budged from the so-called bottom, although I did collect a $3 divvy from Microsoft.
Back on-topic:
Choice is one of my smaller holdings as I'm not as comfortable with their potential as I am with RGY or DCL. Doesn't mean that it can't turn out to be the most profitable one though.
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