Its hard for people to give thoughts. I have exposure through US markets two ways.
1. Owning three stocks in the U.S - NVDA, TSLA and UBER have been owning them over two years now. Position increases and decreases to keep a balance.
2. Owning TLT over two years as well. But with TLT it's a little different as strategy is to reinvest all dividends first five years of holding - entering third year now so time flies.
A savage bear market is coming always does typically around mid terms so late 2025 early 2026 is profit taking season for me except TLT and load up again later in that year.
Hopefully we will have Open AI listed by then.
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