Portfolio
Here´s how my portfolio is divided (stonks only):
$TSLA: 74.72%
$MA: 11.33%
$AAPL: 3.61%
$TCEHY: 2.27%
$FUNO11.MX: 2.16%
$NAFTRACISHRS.MX: 1.45%
$SPCE: 1.16%
$GRUMAB.MX: 0.75%
$BACHOCOB.MX: 0.55%
$ALSEA.MX: 0.54%
$GMEXICOB.MX: 0.54%
$GBMPICTBO.MX: 0.32%
$VMEX19.MX: 0.29%
Companies/ETF´s/funds I plan to buy in the future: $AMZN, $BRKB, $GS, $SPY, $MCHI, & $ARKK
Companies I might buy, but haven´t done a fundamental analysis on the business: $CGC, $PLTH/$PLNHF
In a future post: I will explain why I decided to buy each one of these businesses and how my picking stocks (using my own fundamental analysis) strategy works.