Good evening everyone,
there $PLTR (-0,09%) and $NVDA (-0,4%) (despite several sales) have taken over my portfolio weighting to such an extent, I wanted to ask the group what you think about your tea share.
Tech now accounts for around 57% of my share portfolio. I read an insta post today that the younger you are, the less of a problem tech overweighting should be - the only question I have is what a normal overweighting is.
I would be very interested in your opinions :)