Divided almost evenly across AMZN, GOOGL, MRK, NFLX, AVGO, NBIS, Silver, Gold, BTC, ETH, TSLA, PYPL, NVDA, NIKE, MU, BABA, SOFI, COST, Bonds, Cash
All combined I try to keep it at 20 but am thinking this is little too diversified vs shrinking to 5 or 10. Any advice? Thank you