I'm a value investor who buys and holds for years. I think everything is too expensive right now. Most of my portfolio is in AGNC preferred B (7.75% yield).
Portfolio at 01/20/2016:
AGNCB(90%) BAC(4%) AGNC (3%) BRK.B(2%), TRTN (0.4%)
I construct charts to help people capitalize on the excess fear and greed of global investors.
My goal: provide research to help investors enlarge their portfolios regardless of market direction. My approach - TBNM or Tops, Bottoms, No Middles