Smart Portfolio Methodology
Asset Allocation
Performance
2025
2025
2025
2025
2025
2025
Average Risk Score of the Last 7 Days
Investors
Allocation/Exposure (01/06/2025-01/07/2025) Net Exposure
TSM
4.45%
FTNT
4.18%
NOW
4.05%
AVGO
4.12%
PANW
4.51%
CHKP
4.14%
NVDA
4.05%
ORCL
4.7%
META
4.15%
Other
92.35%