Yombie
Dear copiers and followers, I keep on rebuilding portfolio. I recently went out from $MU (Micron Technology, Inc.) and reduce exposure to $META (Meta Platforms Inc) and $GOOG (Alphabet) Buy a lot from $AAPL (Apple) in the last drop and now almost 10% of portfolio is Apple. Some buys in $KO (Coca-Cola) also think last drop was a good oportunity to increase exposure. Both companies are great and we will get dividend from them while they were in a cheap situation in my opinion. Some other buys were $BAC (Bank of America Corp) $HPQ (Hewlett Packard) $JNJ (Johnson & Johnson) $LILA (Liberty Latin America Ltd.) $KR (Kroger Co) Not a bad year with 37,10% profit this year so far, its been difficult with the high volatility but i will keep on modifying portfolio to be more stable each month. Thanks for reading Dont panic, just trade