Rate My Portfolio (4 Months In)! โญ ๐จ๐ฆ
Building a hybrid model of core indexing + individual conviction plays. How would you rate this setup?
Holdings:
Core: $XEOT & $QQC
4 Growth/Sectors: $PLTR | $CCO | $AVGO |
$SPCX
Goal: Long-term wealth building with a mix of broad market stability and Al/energy transition growth.
Feedback needed:
โข Trim, add, or hold?
โข Any major sector overlap or missing pieces?
Give it a rate out of 10!