Your profile shows that your port (which is about H$400 million larger than mine) hold 1,530 securities, while my port holds 823 securities, including 524 moviestocks, 278 starbonds, 4 derivatives, and 17 movie funds.
I often see people with ports with a similar size as mine holding 2,000-3,000 securities, and I often wonder what they are holding that I am not. Do you hold lots of development or concept stocks? I've theorized that the best strategy is to hold everything without a release date short, then flip when there is news of production. What is your strategy?
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