Hello community,
This is my currently portfolio…
I only want to ask you some advices, i don’t know what to do now.
I'm currently do a PAC on my ETF (200fr each month) and also i have a small part of ETH and some stocks.
$NVDA (-0.68%) is my biggest position and i think i want to hold as much as possible.
$DUOL unfortunately after yesterday earning this stock fall 30% on my portfolio, i think i’m going to wait until a good moment to selle that
$BMNR (-4.97%)
$BGB (-1.43%) with this two position i don’t have any idea of what is the best thing to do.
If you have any advice please share to my, i really want to know what i can improve with my portfolio.
Thx for all guys❤️

