Leonardo Ortiz Ordonez
Edited
Being loyal to my investing policy, I keep checking posible oportunities, buying great companies and selling when need to realize some gains. What I've been buying this week: - CMG (Chipotle): new in my portfolio. It dropped after reporting earnings, and there is a good opportunity to recover. (Just 0,6% of the portfolio) - UNH (United Health): it seemed to be a support in about $300, but it continued dropping. It's now 1,1% of the portfolio. - LULU (Lulu Lemon): lowest P/E ratio in the last 10 years, very solid company. It represents 1,44% of the portfolio.
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