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TopicStock Market General #42
vbty3
01/06/22 4:41:50 PM
#238:


sparky2658 posted...
Pretty bad IMO.

The below being approx 55% of my portfolio I have lost $99.25. I am looking to make this 55% of my portfolio to be a long term bid and I feel like I'm failing in my choices so far.

SCHD, VYM and VAW are the only to ETFs I'm not losing money.

Makes me question the rest of my ETF choices as bad.

* 6 shared KARS 4.5%
* 1 share VPU 2.5%
* 3 shares SCHD 3.9%
* 1 share VYM 1.8%
* 1 share VAW 3.1%
* 3 shares VTI 11.6%
* 1 share QQQ 6.2%
* 5 shares THCX 0.6%
* 4 sharesICLN 1.3%
* 5 shares LAC 2.4%
* 5 shares LIT 6.6%
* 5 shares SLVO 0.4%
* 1 share ARKK 1.4%
* 5 shares ARKF 3%
* 4 shares PSI 4.8%
What is your 1 year return? You should be doing alright with VTI in there.

Id examine where ETFs overlap and cut my losses. Diversity preserves wealth, concentration builds wealth. Id reallocate more into VTI since it covers the US market.

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