It has been quite an interesting week. My portfolio has been on a steady road downwards.
I don't think there is a singe cause for this. The Greek have been in a really unsteady situation for the whole summer.
Then there is China, I don't know what to think of it. Seems to be some kind of currency battle. But is it going to last for long, who knows?
Third there is the oil price, it's still going down. For me, it seems to be a good thing at the moment. Lower oil price should give an economic boost all over the world, at least for businesses who depend on buying oil.
I'm going to continue buying normally and at the same time I will try to save some spare cash for bigger drops. Let's see what happens.