RE:RE:RE:RE:Note from the portfolio managerI'd have to look back at statements but since I was buying in my two traders, as well as my TFSA and RRSP I'd say 3 years at least, buying 1000 - 3000 at a time in the different accounts as cash became available. I usually try to redeploy profitable sells into 3/4 higher quality/blue chippers and 1/4 into spec plays. I've usually sold some at around 20% profit with rebuys getting smaller as the price has risen. The remainder from the other day was only 1500 I had rebought in January. PHM has been good to me but my averaging down is risky stuff - I'm sitting on painful losses in GSI with not much prospect of improvement for some time if ever there. Also betting big on RHT but not suffering so much there.