Basically, my stock picks are as follows: MSFT, AAPL, SQ, ADBE, NVDA, TSLA, PLTR, CRWD, STEM. Thinking about selling all of these and going 50/50 on QCLN and VGT. But it just feels so lame to go in on an ETF, knowing that a lot of the companies I pick will probably take off. Like I'm excited about buying Block or Palantir not fucking Netgear lol.
Does anyone else have this issue, if so, what did you choose, and why?
Leave a Reply