S&P 500 ^GSPC
Amazon AMZN
Nvidia NVDA
Alphabet GOOG
Microsoft MSFT
Apple AAPL
Tesla TSLA

So 30% of the portfolio will be long term where I am targeting 3+ years (time test). The rest is more medium/short term.

I understand, in my perspective as more of a short-term investor, I like that attitude.

I have both a long-term portfolio and an options portfolio. In the option portfolio, I list Options with expiration from 1 week to one month, and collect Credit that way. In an emergency, I get assigned and collect Credit on the call side, and hold the stock until it arrives and I am assigned. 👍

I like to follow your option portfolio and trades and always learn something new, while admiring it very much! Thank you for your posts and I wish you the best.

I'm glad it's fun, and it gives someone something. 👍

Long-term and sometimes medium-term


I'd like to try options eventually.