General Information

Name:
Ryan Peckyno
Fool Since:
July 16 2008

Investing Basics

Investing Experience:
Medium High
Risk Tolerance:
Medium High
Investing Style:
Motley (i.e. Anything goes!)
Portfolio Size:
Large (12 or more Stocks)
Types of Investments:
ALU, BP, C, CEL, COP, CYD, CSCO, DELL, FTE, OGZPY, GE, GT, HPQ, INTC, KR, LUKOY, MSFT, PBR, PBI, PT, PPL, SWY, TEO, TI, TEF, TEVA, TOT, VE, VALE

Investing Favorites

Stocks:
British Petroleum (BP), Cellcom Israel (CEL), Cisco (CSCO), France Telecom (FTE), Gazprom (OGZPY), Goodyear (GT), Hewlett Packard (HPQ), Intel (INTC), Kroger (KR), Lukoil (LUKOY), Microsoft (MSFT), Petroleo Brasileiro (PBR), Portugal Telecom (PT), PPL (PPL), Safeway (SWY), Telecom Argentina (TEO), Telecom Italia (TI), Telefonica (TEF), Teva (TEVA), Total (TOT), Veolia Environment (VE), Vale (VALE)

Investing Expertise

My Area of Expertise:
Generalist
Greatest Investment:
Anything that I bought in the "Crash of 2008"
Worst Investment:
RadioShack

Education And Work Information

School(s) Attended
West Point - BS in Economics w/a Systems Engineering Track; Penn State (Main Campus) - MBA; INCAE Business School in Costa Rica; European Business School in Germany; University of Amsterdam in the Netherlands

Interests

Favorite Movies:
Braveheart, First Knight, Gladiator, Khodorkovsky, Mike Tyson, Mystery Alaska, Rocky, Shawshank Redemption, True Grit, Tombstone, Warrior, With Honors
Great Books Read Recently:
Bureaucracy, Marco Polo Didn't Go There, Representations of The Intellectual
Book Currently Reading:
Too many to list