The author is seeking feedback on a biweekly automated investment portfolio consisting of large-cap tech and diversified ETFs.
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Total of about 1.1k CAD invested biweekly:
Buy $250 GOOG
Buy $200 MSFT
Buy $150 BRK.B
Buy $100 TSM
Buy $100 XEQT
Buy $100 NVDA
Buy $100 V
Buy $100 AMZN
Buy $50 LLY
What can I do to improve this? Would like to set and forget. Time horizon is 10 years, 28m