Taking out all my money from VOO and dumping it into MSFT


It looks almost certain to me that MSFT would outperform VOO in the near future. Right now my portfolio is:

30% VOO

20% NVDA

10% MSFT

10% AAPL

10% GOOGL

10% AMZN

10% META

I am considering reallocating my portfolio to:

40% MSFT

20% NVDA

10% AAPL

10% GOOGL

10% AMZN

10% META

Do you guys think the change is a good idea? Any advice would be much appreciated.


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