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TopicStock Market General #42
sparky2658
01/11/22 7:13:16 PM
#290:


3 Shares of SCHD 4%
3 Shares of VYM 5 6%
5 Shares of SLVO 0.44%
6 Shares of KARS 4.77%
1 Shares of VPU 2.5%
1 Shares of VAW 3.21%
5 Shares of VTI 19.6%
1 Shares of QQQ 6.33%
5 Shares of PSI 11.92%
4 Shares of ICLN 1.3%
5 Shares of LIT 6.71%
1 Shares of ARKK 1.44%
5 Shares of THCX 0.70%

Above is my long term stocks that amount to 68.52% of my portfolio. The ones in bold, have been the biggest losers in my portfolio where I'm losing money.

=======
1 Shares of MSFT 5.2%
7 Shares of F 2.81%
1 Shares of AAPL 2.89%
2 Shares of RBLX 2.92%
2 Shares of XPEV 1.49%
3 Shares of UMC 0.57%
2 Shares of LI 0.97%
3 Shares of KLIC 2.97%
1 Shares of IIPR 3.54%
5 Shares of SOFI 1.15%
1 Shares of DIS 2.59%
5 Shares of IRT 1.97%
3 Shares of HIMX 0.43%
5 Shares of MMAT 0.19%
The rest 1.79% in random penny stocks.

The latter of here is my short term stocks I guess. It amount to 31.48% of my portfolio. My short term stocks have actually been profitable (not by much, but still....). The bold however have been dragging my portfolio down IMO.

Thinking about selling all stocks in bold.
What are you guys thoughts?
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