Sorry Stephen, just a question about the “topping up” process. If someone did the above exactly as you describe, and topped up a particular sector – when they came to top up next time around, what if that same sector turned out to be the most desirable (i.e. valued below the sector average, status is BUY, highest yield) ? Is it correct to go ahead and put further money into the same sector again ? What I mean to say is that when evaluating where to top up, does it matter if a sector previously received top up money ? I imagine not, and that the top up money goes to the most suitable, even if it’s the same as last time, but just wanted to check my understanding please. Thanks