Hey I was being nice with the funky ,,, I was biting my tongue to avoid smashing my devices yesterday ...
the market was way up and then what happens ,, wow the perfect timing of BS hit with Canada and the market went red ... last minutes goto some recovery but nowhere near the earlier gains ...
3 days up on the indexes , the first day big greens and my gains were only about 550$ ... with those numbers green on the indexes I would or should have gained around 3 k to 5 K... the second day was a little better around 1000$ but still not near what the gains should have been .... heck the third day witht the canada BS my closing gains where higher than the previous 2 days around 1600$ but down from around 4000$ pre BS , FUNKY ! FLIP FLOP MAKES NO DAMN SENSE WHAT SO EVER !
I did dump a looser KSS right after the div payout and am trying to sell of a bonds and cant get a decent bid on it .. it will be a loss so to say not including the past decades of payouts which should still be a win over its long run ...
im still waiting and deciding on selling a mutual fund that been a pain since I bought it decades ago .. pays annually .. has amfew buy lots still red but those are small $ ... the gains and payouts over the years has made good money .. I may just wait till EOY and sell it after getting the EOY divs and cap. Gains payout ..
At the least the selling of the loosers will offset lower my tax responsibllity !