Or maybe Wishfull thinking? LOL
Only reason I sold some of my Commodities is because so has Heebner at CGMRX and CGMFX has been Reducing His and a few other Fund Mgrs..
Of course taking Profits, is the name of the Game and Not hanging in there to squeexe the last dime out
Risk vs Rewards? To make +20% more on Oil now , it will have to hit around $170 by Yr end..
And if your already + 50% ytd? Do you want to run the Downside risk?
or get that $ out and go after Better 'prey'?
still Holding some and More in Nat. Gas, but have reduced and taken profits ..
I'm very happy..