In the first quarter of 2007, my portfolio took a big hit and I was down about $10,000. I lost a lot of money in tech stocks and SIRI. Then I decided to get rid of tech stocks and invest primarily in oil-related companies. Since then, things have reversed for me. Now, during the second quarter, my portfolio is currently up by $20,000. Talk about volatility. I hope things hold up. I want to post more details about my investments but I’ve been so busy lately. I’ll try to post more when I have time.