Good morning dear community.
Today I invested part of yesterday's proceeds from the sale of $AVGO (-0,94 %) into a totally normal OS on a company $COST (+0,7 %) from a totally boring industry with a relaxed term until March 26, close to the money and a normal 11 leverage without KO.
Why? $COST (+0,7 %) has always performed well in the summer months in recent years, as it benefits from the vacation period. The months from June to August are the strongest months for $COST (+0,7 %) . So it's more of an experience/statistics trade.