Over the past few years, I've been lucky enough to pick some good companies, but I'm becoming to reliant on tech.
\-S&P500 index is about 20% my overall portfolio (which in itself about 40% tech)
\-60% is in tech or tech adjacent
\-20% is in consumer defensive
**-So altogether it's about 68% technology**
I like the tech companies I own, but I am conscious of being overexposed to one area. I don't sell stocks unless there's a serious threat or problem with the underlying product/model - which there isn't.
The other option is I hold off buying more tech (which is difficult because I work in IT and it's the area I understand the best), and dilute it as I add more money to my brokerage account.