Portfolio +46.2% YTD, 3.1x the S&P since inception. Plus, SYF rerated, and dividends lifted the total return to 56.6%. I’ve lowered my SYF target to $100 and kept the rating at HOLD.
Weekly #102: Micron Stock, 26 Deals and a…
Portfolio +46.2% YTD, 3.1x the S&P since inception. Plus, SYF rerated, and dividends lifted the total return to 56.6%. I’ve lowered my SYF target to $100 and kept the rating at HOLD.