I own Chevron, Visa, SeaDrill, McDonalds, Berkshire Hathaway, Apple, Devon energy, Greenlight Reinsurance, Bristol Myers.
Most of my money is in Vanguard and SPDR ETFs: SPDR S&P 500 (SPY), Vanguard REIT ETF (VNQ), Vanguard Bond Index (BND), Vanguard Total Stock Market (VTI), Vanguard High Dividend (VYM).
Just bought Sprint at 4 dollars on an extremely speculative buy which I usually don't do. The company has a terrible future too. But its worked out so far.
Every once in awhile Ill fukk with GLD shares, but fukk gold, it's too volatile. I also bought Freeport McMoran. But they make me nervous as they are a gold mining company.
Whats your return for the year?
Should of held on to my Expedia shares. I bought it at like 30 and sold around 45 because I thought it topped out.