Hey all. Pretty new at investing still. I had like 19 holdings and tried spreading 960 CAD across them. I felt like I was spreading way too thin. I sold off my portfolio except for NVDA, GOOGL, TSM, POET. I am holding on to those. I am no longer pumping cash into them, except for POET.
I'm leaning towards more of a laid back set it and forget it. I have a biweekly reoccuring 480 CAD spend across XEQT, TEC, FBTC, and POET. Looking for some thoughts and feedback.
See screenshots for biweekly allocation and current portfolio.