Hello getquin community!
I just added $NOW (-1,8 %) and $ACN (-2,85 %) to my portfolio and I’m thinking about starting a position in $MSFT (-0,38 %) next. However, adding $MSFT (-0,38 %) would bring my total to 18 positions.
Am I over-diversifying or overlapping too much in tech? Would love to hear your thoughts