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sorry the ( SIG ) valuations  looking totally unfathomable to me ( so noticed i was in healthy profit and crystallized it )


 i also  hold  PGC 


 crikey it is hard to position a portfolio  with a rational healthcare exposure 


 ( i held API , SIG , and still hold PGC and CAJ  and PME  , who needs to go to the race-track  if you dabble in this sector )


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