What a surprise. PALM reported poorly and in the morning the gap was down by 19%. This is from opening my position -15%. If it wasn't for a portfolio, that would be VERY unpleasant, but since its share in the portfolio is only 10%, then the portfolio loss is -1,5% and this is JUST unpleasant.
З.Ы. And if we take into account that approximately 1/5 funds, then this nuisance weighs -0,3% in a common boiler. But this too, certainly, tangibly.