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We are overly cautious.

When a stock goes down we are happy so we don't have any problems with this. However, instead of deploying 40% of our capital we may only deploy 20%.

This is very apparent on the blog in my sig; in many years we hold too much cash. However, even with the anchor of too-much-cash we have managed to do quite well, but we could have done better.

We tried to buck this trend during the past downturn, deploying a more significant amount of capital.
 
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