In a previous post I stated that "Occasionally, the portfolio gives the same feeling as sitting and watching color dry." This in a state where my portfolio despite, or because of, my low activity slowly but surely climbed up to a new ATH. That new high was at the time 1.5 miljon Swedish krona. I ended the post with a note of, what I felt at the time, a rather high and even an unrealistic statement for the end of year status. However, when it comes to money nothing should be taken for granted. The development so far: Brutto (gross), the orange line, here stands for the amount my portfolio is currently valued at. Netto, the blue line, is that same amount but deducted by my current debts. Although the probability of reaching 2 million, gross, before the end of the year is not too great, I must admit that I never thought I would get so close so quickly. I humbly thank and bow befor a favorable year. What pervades me, however, is whether I should or should not take the