BRK- 20%
V-7%
FB- 5%
GOOG- 5%
MSFT- 5%
CRM-5%
DIS-5%
MU- 4%
F- 4%
QCOM- 4%
ADBE- 4%
AMZN-4%
ATVI- 4%
PYPL- 3%
NVDA- 3%
INTC- 3%
AVGO- 3%
SQ- 2%
U- 2%
SOFI- 2%
TWLO- 2%
BABA- 2%
ETSY- 1%
SHOP- 1%
I want to be diversified but in quality companies only. Is this a prudent portfolio?
Leave a Reply