In the spirit of disclosure!!
My 2013 closing Portfolio:
Coop: 29%
EQTy: 12%
NIC: 22%
SAFC: 21%
KK: 16%
A bag of mixed results. A return of 20.97%
I was and am still a novice, much thanks to @Hisah, @Obiero and @Stockmaster. Influenced almost 99% of my purchases.
For 2014:
Safc: Hold Long Term
Coop: Hold Long Term
KK: Hold not sure for how long
NIC& EQTY: Sell after results
Kengen: Buy before and accumulate after rights issue, with any new cash for long long term.
Timely advice is as lovely as golden apples in a silver basket. Proverbs 25:11