We added to our equity exposure with the weakness on Friday.
Currently we are 40% allocated to equities, which is still a very cautious allocation, but one we feel comfortable with.
These allocation numbers will accelerate once we get the almighty three line break sentiment chart to turn up and I anticipate this to occur early next week.
Below you will find charts of the stocks that have been added to the portfolio.
Typically stocks in this portfolio are held anywhere from 2 weeks to 3 months, depending on the behavior of the stock and also the general outlook for equity prices on the whole.
These picks are not as aggressive as the 20% in 7 days stocks, but they are still classified as higher risk stocks.