Would love some feedback on my stock portfolio - heavy on tech, open to criticism
—·5hSocial
I’ve been building this portfolio over the past few years and would genuinely appreciate some outside perspective. Here’s where I currently stand: NVDA - 43.65% SPMO - 16.34% TSLA - 10.14% AVGO - 8.52 % AMZN - 5.59% GOOG - 5.66% SCHD - 4.61 % FDMO - 2.12% FTIHX - 1.96% FBCG - 1.36% How concerned should I be about the NVDA concentration at this level? Would you trim or rebalance, or stay the course given the AI tailwinds? Anything obviously missing or redundant in this mix? I’m a long term invest
TickersNVDA, SPMO, TSLA, AVGO, AMZN, GOOG, SCHD, FDMO, FTIHX, FBCGChannelsstocksCategoriessocial-signal
Open original source ↗Published
6/14/2026, 10:38:19 PM
Fetched
6/15/2026, 12:07:04 AM
Confidence
30 / 100
Relevance
5 / 100
Trust
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Language
en