Hi there, I’ve been a silent reader for the past months. But this is my portfolio. For context, I’m 20 years olds and active with investing since 2 years.
$XLKS (-0,74 %) - the base of my portfolio, with the belief in tech for the longrun.
$NU (-0,35 %) - Is my high conviction bet, as well as $IONQ (-5,47 %) which I’m looking to expand.
Other then this, I have some other “sleep well at night” picks I presume, that I also add to for dividends and stable growth.
Let me know what you think and my question is: Should I keep adding to $XLKS (-0,74 %) or split up my position into $NVDA (-1,9 %) - $AVGO (+0,74 %) - $MSFT (-3,3 %) - $ORCL (-7,9 %) ?
Let me know and good luck to all of you!