I just constructed a portfolio for a client who is rich but wants to get richer asap. :D This is how I allocated the money: PYPL: 30% ENPH: 20% SNOW: 10% Lyft: 10 % UI: 10 % LAZR: 10%
how do you think about the allocation, which one them shall I buy more ?
Not a financial advice
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FAQ: my personal biggest position is TSLA followed by META & BABA.
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The timing was legendary
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just bought 18k shares of Luminar @2.87. If im lucky it can hit $10 one day.
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also added another 2k shares of PYPL. it can hit $140 one day.
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also bought around 12k shares of BABA at the market open. it can hit $130 one day.
as well as added anither 2k shares of TSLA.
if im right tsla can hit $345 by year end.
wishful thinking but who says it is not possible . no body knows
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added another 3k shares of PYPL last night when it was deep in red.
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"CountLikeWallStreet" decided to rebrand as "SabahEquityResearch," it marks a significant milestone in my journey of parabolic capital growth, where a once-anonymous online presence has evolved into a hedge fund based in Dubai synonymous with unparalleled insightful financial analysis.
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im deep into green. which of the above picks you are holding ?
it appears that LAZR might not go any where till the start of new year.
I feel like its a victim of tax loss harvesting for now.
what do you think ?
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everything to the moon
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I trimmed LYFT a bit and added more to LAZR.
why ? My client is an EV fan.
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Just reviewed our portfolio. We're now up almost 40% from where we were 40 days ago. We've still got 60% to go, but we're on track to reach our goals by the end of August 2024.
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the portfolio is hedged via QQQs and SPY put options.
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toke profit on my puts and bought more PYPL.
I believe the down is over or about to be over soon
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downside*
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I new video out on TSLA stock . watch it and tell me about your thoughts.
What else do u want me to look at applying EW 2.0 model .
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