Opinion only requested. Hypothetically speaking, assuming one is invested equally in NOT, SPQ, FWR, BMK, FNC and PRB with NOT having a core percentage of 50% and balance split equally amongst the others. You receive some extra dollars (equal to a non core position) to invest in just one of the above mentioned companies; who would it be and why?
I realize this is a dangerous question so before you answer I will advise to all that any responses from any persons will not be considered as investment advice. As always please do your own DD and check with your investment adviser before making any investment decision.