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Meta Platforms Inc. (META $787.08)
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NVIDIA Corporation (NVDA $182.34)
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Skyworks Solutions Inc. (SWKS $71.86)
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Salesforce Inc. (CRM $232.58)
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Whitecap Resources Inc. (WCP $10.14)
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BRP Inc. Subordinate Voting Shares (DOO $73.95)
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Block Inc. Class A (SQ)
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goeasy Ltd. (GSY $208.24)
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Twilio Inc. Class A (TWLO $95.96)
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Aritzia Inc. Subordinate Voting Shares (ATZ $72.82)
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Veeva Systems Inc. Class A (VEEV $275.16)
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ServiceNow Inc. (NOW $854.90)
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The Trade Desk Inc. (TTD $53.50)
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WELL Health Technologies Corp. (WELL $4.83)
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Lightspeed Commerce Inc. Subordinate Voting Shares (LSPD $16.69)
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Pinterest Inc. Class A (PINS $34.73)
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CrowdStrike Holdings Inc. (CRWD $433.47)
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Digital Turbine Inc. (APPS $4.19)
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Nuvei Corporation Subordinate Voting Shares (NVEI $47.61)
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Unity Software Inc. (U $35.11)
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Airbnb Inc. (ABNB $120.92)
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Topicus.com Inc. (TOI $173.15)
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Roblox Corporation Class A (RBLX $130.78)
Q: Hi Team,
I am an aggressive investor, which paid off lovely in 2020, but now am being crushed. I hold the following stocks (with weightings in brackets) in total in my brokerage accounts. Could you have a quick look and tell me how this basket looks "In general"? And if you see this basket doing well over the longer term (say 5-10yr hold), pointing out any suggested changes you would make, if any are "sells" or worth switching out. Note that if I sell any GSY it would incur tax (the weighting is large because the position has grown and have been a firm believer in the company as its valuation still looks cheap and am collecting a nice div off it as well). I am 42yrs old so retirement is a ways away and my goal is maximum returns with reasonable risk until retirement. Please deduct credits as required. Thanks
ATZ(3.2%)DOO(1.3%),GSY(24.7%),NVEI(6.3%),TOI(8.6%),WCP(2.8%),SQ(3.5%),APPS(2.5%),RBLX(2.7%),BAM.A(1.7%),LSPD(3%),FB(8.2%),TTD(2.9%),U(2.2%),ABNB(2.4%),CRWD(2.4%),NVDA(6%),PINS(1.7%),CRM(2.9%),NOW(2.7%),SWKS(1.7%),TWLO(2.4%),VEEV(1.4%)WELL(2.5%).
I am an aggressive investor, which paid off lovely in 2020, but now am being crushed. I hold the following stocks (with weightings in brackets) in total in my brokerage accounts. Could you have a quick look and tell me how this basket looks "In general"? And if you see this basket doing well over the longer term (say 5-10yr hold), pointing out any suggested changes you would make, if any are "sells" or worth switching out. Note that if I sell any GSY it would incur tax (the weighting is large because the position has grown and have been a firm believer in the company as its valuation still looks cheap and am collecting a nice div off it as well). I am 42yrs old so retirement is a ways away and my goal is maximum returns with reasonable risk until retirement. Please deduct credits as required. Thanks
ATZ(3.2%)DOO(1.3%),GSY(24.7%),NVEI(6.3%),TOI(8.6%),WCP(2.8%),SQ(3.5%),APPS(2.5%),RBLX(2.7%),BAM.A(1.7%),LSPD(3%),FB(8.2%),TTD(2.9%),U(2.2%),ABNB(2.4%),CRWD(2.4%),NVDA(6%),PINS(1.7%),CRM(2.9%),NOW(2.7%),SWKS(1.7%),TWLO(2.4%),VEEV(1.4%)WELL(2.5%).