Overlaps, clean up portfolio?
—·4hSocial
Current holdings: AAPL, FCX, LAR, NVDA, PLTR, QCLN, QCOM, QQQM, RSP, SMH, SOFI, SPYD, SPYG, TSLA, VOO, VTI ROTH: FZILX and FZROX Ive noticed I have a lot of etfs that overlap such as (VOO, VTI, QQQM, SPYG, ETC) And semiconductor exposure like SMH, NVDA, QCOM I am planning on selling these below: - LAC (loss) - QCLN (loss) - Sofi (loss) - RSP - SPYD - VTI (Keep VOO) - SPYG (Keep QQQM) Does this cleanup make sense? Any recommendations or feedback? My losses are very minimal likes less than $100 co
TickersAAPL, FCX, LAR, NVDA, PLTR, QCLN, QCOM, QQQM, RSP, SMHChannelsstocksCountrieskoreaCategoriessocial-signal
Open original source ↗Published
6/23/2026, 4:31:00 PM
Fetched
6/23/2026, 6:07:04 PM
Confidence
30 / 100
Relevance
5 / 100
Trust
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Language
en