Below is my current portfolio and I have a few questions, Which of below have potential to give better returns in next few years ? Should these be accumulated or held or sold ?
1) AMZN – Bought at 88$ in 2022 and holding still. Didn't buy much quantity, so should I wait for it to fall and then accumulate ?
2) GOOG – Same as above, bought in 2022. Should accumulate more at current price ?
3) MSFT – Didn't buy much, Should accumulate more at current price ?
4) TSLA – Might have gone wrong here, but still HODLing. Whats your view ?
5) UiPath – Holding very less, but in -45% loss already. Don't know what to do here ?
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