Bought UVV @ 47.18
Portfolio = 86% stocks, 14% cash
Market Allocation = 50% CDN, 50% USA
Portfolio Annual Gains (XIRR) = 24.47%
Stock Market Annual Gains over the same 5.43 years (^SP500TR) = 16.40%
Open Swing Trade Positions:
CWB.to, MTL.to, RUS.to
APA, VLY, INDB, REXR, UVV
Going to have to...