Sort of what I’m thinking. There’s gotta be a reason, that he out the ENTIRE PORTFOLIO - 100%- into this thing
Market value is 3.3 million He manages 291 million. I thought I read that he invested 10% in GEO (Post #1) that's where I came up with 29 million.
Could be that my link is not a realiable source, who knows. But I found a 13F on the Edgar/SEC website, indicating that the fund owns 1 security. (Didn’t list the security.)
Might as well long oils, now that OPEC is cutting, winter is upon us, and Biden is going to waffle on anything related to fossil-fuels because election.
I was told by dozens of super successful elitetraders that deep dive analysis was worthless. You only needed to look at price and technical analysis. Was I misinformed?