$GOOGL+0.3% between 87-90.6$ 13% of portfolio 😀

$AMZN-1.2% a bit too, and then etf VUAA from vanguard DCA

In my portfolio I have $GOOGL+0.3%, $AAPL+0.6% and of course $QQQ+0.8% and $SPY+0.4%.

I took a ride on $NVDA+4.6% and $AMD-0.2% - both already sold. Then I still hold $META+0.1%, $GOOGL+0.3%, $AMZN-1.2%.

I have all of the companies mentioned except $META+0.1%, which I only have under $SPY+0.4% and $QQ+0.8%

Oh, yeah, I've already implemented a little something somewhere. But it annoys me that JNJ is declining and my favorite LLY, which I would love to buy, is only growing 😂

Yes, this year is better thanks to these companies, unfortunately the gain and spoils me a bit of a loss position outside of the technology sector. I had $NVDA+4.6% and $AMZN-1.2%, I no longer do, I was taking profits. Lesson learned as I should have kept it, I would have had more then. 😃 Thus I still hold in the green $AAPL+0.6% $MSFT+0.3% $GOOG+0.4% $META+0.1% 💰🍀 So classic as probably most

All by snp :) $META+0.1% really incredible growth since the beginning of the year even though I don't have it separately anymore :D

Very nice site I didn't know about :D that Finviz... Otherwise I think everyone has something from sp500 :)

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