Regret?
The two main stocks that I own in the Public Portfolio have not done well so far. (I also own a Total Stock Market ETF.)
Coursera is down about 11% from where I bought it. I guess they’re not benefiting from the relationship with OpenAI ChatGPT that I thought they would.
And Novo Nordisk is down about 6% from where I bought it.
For both companies, I ended up averaging down. I bought more shares at lower prices.
I’m taking a risk here. As I mentioned in both the posts when I bought the companies, these are not sure things. Some things have to go right for them in the future. I have an investment thesis, and I just need to check in every few months to see if they are still going towards their potential future.