Hi all,
Long story short
I have Crypto, which I buy every now n then, much less this year.
I have a GIA account with 10 single stocks in growth, and SWDA/IDEM which take up 40% of the portfolio. When my single stocks hit a price target, I'll sell off 1/3 and put it into those ETFs.
My S&S ISA (tax adv) has VHVG VFEG, I was thinking to rebalance and tilt 10% towards QQQ, or maybe 5% QQQ and 5% Energy. Either way, is allocating 10% is bad idea? Or maybe tilt 20%?
Submitted September 12, 2023 at 03:47AM by zooka19 https://ift.tt/ykida1S