I have been trading 4-5 times in the last year or so and not sure what you think of my portfolio.
AWE AUST WORLD FPO [AWE]
BHP BHP BLT FPO [BHP]
GSE GOLDSEARCH FPO [GSE] (I know , don't tell be about it - bought about 8 yrs ago!! - never again!)
PEM PERILYA FPO [PEM]
TOL TOLLHOLDGS FPO [TOL]
TZN TERRAMIN FPO [TZN]
WOW WOOLWORTHS FPO [WOW]
Recently sold HVN and LYC wil probably buy again if price drops again (will it?)
And I have been looking into BBI B&B INFR STAPLED
What is your opinion please?