Here are my current holdings in the beginning of 2007. My strategy now is still go with a defensive lineup and also diversify more internationally. I also decreased my position in energy. I’m going to stick to my strategy and even increase my exposure to ETFs and opt for less risk than investing in individual stocks. : $68: A giant that’s beaten up a bit. Should recover. Quality stock.. : $36: Quality company with good management. Diversified. Looks cheap. : My recent addition. Company makes good products, moves into more healthy oriented products. Good international player. : Panasonic makes the…