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I am a newer investor looking for some feedback about my portfolio. From biggest to smallest holding I currently hold Amazon, meta, nvidia, novo nordisk, netflix, united health, vfv, Xqq and Microsoft. After the recent tech selloff my portfolio is currently down 10% all time but I am continuing to hold and gradually buying more. I have a cash position of 15%. Is there anything about my portfolio you would change if you were in my position?
Thanks