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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