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Changes:XLE +2.1%VYM +2.1%VCX +2.0%SGOV +0.1%AAPL +0.1%

$SP5CPTDIV Selling bond and REIT and adding energy exposure, anticipate spaceX IPO and income etf

Changes:SCHD +2.9%CERY +0.2%BCD +0.2%SGOV +0.1%GLD +0.1%

Selling silver and cony and adding SCHD for steady. stable long-term income

Changes:VWO +1.7%TSM +0.5%AAPL +0.4%SPYI +0.3%VOO +0.3%

Increasing emerging market exposure to anticipate GDP growth in some key Asian countries due to demands in AI and supply chain

Changes:XDTE +1.5%QDTE +1.5%GLD +0.1%SLV +0.1%NVDA +0.1%

relocate funds to nasdaq and sp500 covered call strategies to capture dividends

Changes:GDX +1.3%COPX +1.2%BCD +1.2%CERY +1.2%SLV +0.4%

Anticipate bull market. taking profits on covered call strategies to fund rare earth mineral and commodities

Changes:GLD +3.0%SLV +3.0%SPYI +0.1%SGOV +0.1%BND +0.1%

Adding fiat debasement protection given current geopolitical tensions and uncertainties

Changes:VWO +3.0%BND +3.0%TSM +0.2%NVDA +0.1%VXUS 0.0%

bump up bonds for income and adding emerging markets exposure to anticipate super cycle

Changes:VXUS +4.3%VOO +1.1%TSM +1.1%SPYI +0.7%QQQ +0.6%

removing BIL to minimize redudancy. Adding VXUS for non-US exposure and anticipate international growth potential

Changes:VOO +15.5%SPYI +0.2%BIL +0.1%SGOV +0.1%VNQ +0.1%

Replace VTI w/ VOO to minimize exposure to small caps. Anticipating volatility in mid-small caps

Changes:VUG +11.0%CONY +0.4%TSM +0.2%NVDA +0.2%BIL -3.1%

rebalancing and adding VUG to increase and broadening coverage in tech sector