I'm adding to the VWRP and VUAG monthly and the rest get fed a bit when they look good value. I am thinking of getting rid of them tho to add to the ETFs just.
AMC is the wild card, bought at $10, well you never know…. PLTR and IONQ probably much of the same for speculation.
This is what I've got. Been in a year and a bit, so none of it is looking that great at the moment sadly.
Keep going as I am, or make some changes ?
% is the portfolio split
VWRP – FTSE All World – 35%
VUAG – S&P500 – 22%
AMC – Amc Ent – 18%
PLD – Prologis – 7%
PLTR – Palantir – 5%
MSFT – Microsoft – 3%
ASML – AMSL – 3%
IONQ – IonQ – 3%
SI – Silvergate Cap – 2%
LCID – Lucid Motor – 2%
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