XaiJu
ManzTrades
ManzTrades

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Long Term Portfolio

Below is a breakdown of my long term Roth Portfolio -

As always; I AM NOT a Financial advisor - below is a breakdown of my personal portfolio.

I will be providing a weekly breakdown from this point forward of why I am long on these names and where my conviction comes.  


$SoFi - encompasses 13% of portfolio at an average cost of  $18.12



$DDD - encompasses 9% of my portfolio at an average of $24.90


$SPFR (Velo3D) encompasses - 13% at an average cost of $9.97


$V - encompasses 7% of my portfolio at an average cost of $202.70



$SQ encompasses 3% of my portfolio at an average cost of $182


$CCIV represents 15% of my total portfolio at an average cost of $19.70


$ATOM represents 7% of my portfolio with an average cost of $18.34

$SKLZ  encompasses 7% at an average 19.14 


$PFE represents 3% of my portfolio at an average cost of $38.44



$ALGN represents 8% at an average cost of $538



$BYND represents 4% at an average of $122



$MNMD - 3% at an average cost of $3.17


$TSLA is the remaining 10% at an average of $611




Comments

Will you update as you open a new position or close a position in your Roth?

Thanks Manx…Curious to know if we should be using a stop loss order for those of us who work full-time in other jobs? If so, what percentage would you trail the order with? Thank you for everything… Really enjoyed being part of the group


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