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Changes:QQQM +15.0%IVV +13.0%GOOGL +5.0%PLTR +2.0%AMD +1.0%

$JAYMONEY I’m reallocating my portfolio by reducing slow, dividend-heavy and redundant positions, and shifting that capital into a more focused mix of core market exposure and high-growth names like QQQM, IVV, GOOGL, and AMD, while keeping a smaller allocation in stable holdings like BRK.B and UNH. The goal is to concentrate on higher-upside assets and use rebalancing to effectively buy dips and accelerate long-term growth.

Changes:UPS +5.0%SOFI +1.0%IVV -2.0%BRK.B -1.0%SCHD -1.0%

Rebalanced to take some risk off and added UPS into the mix. Its a solid company thats beaten down and has very good dividend yield. I wouldnt mind holding on to it for awhile.

Changes:PEP +7.0%SOFI +1.0%AMD +1.0%PLTR +1.0%UNH +1.0%

reshuffling and adding PEP in the mix... Solid Dividend stock with a good upside potential.

Changes:UNH +2.0%SOFI +1.0%PLTR -3.0%

Just a slight rebalance to get more UNH in the mix and less exposure to PLTR while the possibility of a pullback is likely.

Changes:BRK.B +10.0%IVV +2.0%AMD -4.0%GOOGL -3.0%TSLA -2.0%

Market is due for a pullback so rebalancing it to minimize risk from volatile stocks.

Changes:SOFI +6.0%GOOGL +2.2%SCHD +1.7%AMD +1.3%BRK.B -3.2%

Added SOFI in the mix... Future Upside target will be at least 23-24.

Changes:IVV +16.8%TSLA +14.8%PLTR +14.6%SCHD +13.3%AMD +12.7%

The recent drop of UNH is a blessing, will start accumulating a small portion of the portfolio.