I won’t be posting updates just to keep score of what my portfolio has gained (or lost), but only when “something happened”. The something that happened this week, was that NVDA made its 5% target (closing price 169,81; the target was 164.7
and gets a new target, 178.30 and yje new deadline date is 6-15.
The portfolio has lost 0.5% since the new start, which compares favorably to SPY (-1.3%) and IWM (-2.2%) and unfavorably to QQQ (+2.3%). Just investing in QQQ seems like quite a good idea.

The portfolio has lost 0.5% since the new start, which compares favorably to SPY (-1.3%) and IWM (-2.2%) and unfavorably to QQQ (+2.3%). Just investing in QQQ seems like quite a good idea.
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