RE:RE:RE:Sector out preform.
Jssayn sounds a bit like my portfolio, I'm at about 60% Oil and Gas. I'm still holding Wcp, Arc. Cpg and Birchcliff. I feel were in the sweet spot and in for either a dividend raise or special dividend if the price of O&G hangs in there. Your never wrong taking profits , there's always another trade around the corner.