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Seeking Alpha Summary of Recent Buffett Moves

Buffett has twice delivered timely advice to buy at crisis moments, but he has never told investors to get out of the market. Value investors don't do that.

Buffett's market views can best be found by thoughtful examination of his recent actions; for example, trimming Apple likely stemmed from valuation and position size.

Buffett clearly couldn't find his favorite "great companies at a fair price" and settled for bond-like companies where immediate high dividends reduce duration, thus lowering risk.

Elimination of JPMorgan and Pfizer positions inspires questions about how he sees them as differing from other companies in their industries.

Don't miss the obvious takeaway: Buffett isn't exactly a bear, but his actions speak of a broadly overpriced and bifurcated market.

 

The rest can be found here

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38 minutes ago, Ridgeback said:

I like this one too, but it keeps on busting down through support...

LoanDepot just IPO'd. It had to adjust valuation down by 75%. Lot's of other lowered too or canceled IPO. The market sees rates going up and worried about the gravy train disappearing which is accurate. However, the decline in UWM stock is treating it like just another mortgage lender and it isn't. Wall St is behind understanding that and understanding how they are positioned to really out perform it's peers as rates increase. 

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1 hour ago, BassNBrew said:

Yup.  Forward PE of 6, dividend of 5%.It shouldn't have been down 3.5% with the S&P was only down 0.5%  @Todem may want to look at this one.

It's my only individual stock in my house fund. Figured it made sense to put there.

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5 hours ago, beef said:

OIL BABY!  

Trimmed some NRGU at @115.  More set at @117.50  and 120

More at 125 and 130.  About half of what I had.  We'll be looking to buy back on a dip under 100.  Really hoping for a pullback to 80-90... 

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8 minutes ago, NajehHejan said:

Why do bond ETFs and bond mutual funds no longer move inversely to stonks. For the past year, it seems when stonks go down, my bond funds go down too (not by as much of a percentage, but still down). They used to almost always move inversely to each other, unless I'm an idiot.

was wondering the same thing. down 2% in the small bond position i took. would have been better off just leaving it in the settlement fund...

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Damn, might be my worst day since last March. Now, since I’m over triple from that bottom it doesn’t sting a lot. It’s hard to tell if this is temporary or maybe some more pain.

Didn't do much other than get out of CCI and AYX for NVTA and FLGT. Been meaning to dump those two and with the ones I bought down so much, happy to trade places. I believe way more in the other two five years from now.

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Sold a few big names that were up today

Sold a few PLTR puts at a 10% 4-day return after it found support again under 28.

Sold a couple penny stocks that were up today.

Tried to shrug the rest off.

Edited by Worm
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23 minutes ago, General Malaise said:

COMING FROM BEHIND LIKE A GOOOOOOOOOOOOOOOLLLLLLLLLLLLLLLLLLDDDDDDDEEEEENNNNNNNNNNN GREEK.

 

CO 

BALT

BLOCKCHAIN!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!1111111111111111111

 


 

Can’t believe this is taking off but I’m thrilled. 

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24 minutes ago, General Malaise said:

COMING FROM BEHIND LIKE A GOOOOOOOOOOOOOOOLLLLLLLLLLLLLLLLLLDDDDDDDEEEEENNNNNNNNNNN GREEK.

 

CO 

BALT

BLOCKCHAIN!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!1111111111111111111

 


 

i think it was @cosjobs constantly mentioning it so picked up a few during the bottom last week. thank you both. is this a hodl? or trade?

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11 minutes ago, beef said:

Am I the only one that has been big on banks and oil?  Some of my best days seem to be downers here.  Feels lonely... 

I think @Slapdash was big on banks and energy, haven't seen him in a while though. Hope all is well. 

Thanks for the tip on BNKU by the way, already up 22% despite the broader market dumpster fire. 

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