Which portfolio will outperform ?


Will the big leaders outperform or the ones with more growth potential ?

Portfolio 1:
$WM (Waste Management)
$PG (Proctor and Gamble)
$LMT (Lockheed)
$PSA (Public Storage)
$UNH (United Health)

VS
Portfolio 2:
$GFL (Green for life)
$KVUE (Kenvue)
$LHX (L3Harris)
$CUBE (Cube Storage)
$HUM (Humana)


Comments

Leave a Reply

Your email address will not be published. Required fields are marked *