• switch campaign AT&T with GSK #639 Optimal Strategy of Playing the Stoc

    From plutonium.archimedes@gmail.com@21:1/5 to All on Mon Jun 27 09:33:56 2016
    switch campaign AT&T with GSK #639 Optimal Strategy of Playing the StockMarket via VonNeumann Game Theory

    As a man with cancer, old habits die hard. Back to the switch campaigning. There is an old saying which is very true-- things are not as bad as what they appear. And that goes especially well for GSK with Brexit.

    Portfolio of PAF on 27JUN2016
     
     VZ     1,800
     
     
T      24,500

    GSK        520

     
_______________
     
              26,820


    total share-wealth-units last reported which was 20JUN2016 was 26,800 
and total share-wealth-units today 26,820

    
real-estate land 3APR03 of 1 lot $16,500.
    real-estate land Sept05 another lot $75,000.

    I am selling nearly all the real estate as a man with cancer cannot properly take care of. I always felt that if you cannot properly take care of property, you need to sell it.

    Today, with Brexit fallout, I sold 500 of AT&T at 41.84 and with the proceeds went ahead and bought 520 shares of GSK at 40.02. I first put in an order at 39.84 for a 2 dollar spread, but GSK quickly climbed to over 40. And I was not about to wait the
    day wondering if bought. So I upped the buy at 40.02.

    This is classic switch campaign. In that I switch back and forth, increasing number of shares owned.

    GSK is somewhat insulated from Brexit, in that this large pharmaceutical is international, not so much localized to Britain.

    AP

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