ทวีตที่ปักหมุด

My current long-term holding allocation with their current share price as of today:
$TSLA 24% (397$)
$SOFI 15% (18$)
$AMD 15% (216$)
$HIMS 10% (15$)
$OSCR 9% (12$)
$ZETA 7% (15$)
$PLTR 6% (130$)
$NBIS 5% (100$)
$LMND 5% (50$)
$PATH 4% (10$)
I’m not selling a single share of any of these before 2031 unless my long-term thesis changes.
I’m aiming for 4–10x by 2031 across this basket, with a couple names having real 10x+ upside.
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