Mandi - New Portfolio

A Maxey

Mandi
Individual Investor
Ranked #296,487 out of 753,381 TipRanks' Investors
Success Rate
67%
6 out of 9
profitable transactions
Average Return
3.69%
Average return
per transaction
Share this portfolio:

Allocation

Top Stocks
12.51% BRK.B
12.32% ITA
12.02% VIG
11.99% AAPL
11.96% GLW
39.20% Others
By Assets
63.81% Stocks
36.19% ETFs
0.00% Funds
0.00% Cryptocurrency
0.00% Cash
By Sector
39.35% Technology
36.19% General
12.51% Financial
11.96% Basic Materials

Portfolio Holdings

Name
Price
Price Change
Analyst Price Target
Analyst Consensus
Smart Score
Market Cap
Yearly Gain
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AAPL
Apple
$226.84
$2.31
(1.03%)
premium
24 Buy
9 Hold
1 Sell
Moderate Buy
premium
$3.45T
28.61%
BRK.B
Berkshire Hathaway B
$453.38
$4.35
(0.97%)
premium
2 Buy
1 Hold
0 Sell
Moderate Buy
premium
$977.20B
27.96%
GLW
Corning
$41.94
$0.67
(1.62%)
premium
9 Buy
4 Hold
0 Sell
Moderate Buy
premium
$35.89B
29.32%
ITA
ITA
< ETF >
iShares U.S. Aerospace & Defense ETF
$144.81
$0.86
(0.6%)
premium
177 Buy
94 Hold
16 Sell
Moderate Buy
premium
$6.59B
27.65%
MSFT
Microsoft
$416.79
$1.24
(0.3%)
premium
30 Buy
0 Hold
0 Sell
Strong Buy
premium
$3.10T
30.26%
NVDA
Nvidia
$129.37
$5.63
(4.55%)
premium
32 Buy
3 Hold
0 Sell
Strong Buy
premium
$3.18T
174.30%
ORCL
Oracle
$139.19
$1.11
(0.8%)
premium
14 Buy
13 Hold
0 Sell
Moderate Buy
premium
$383.59B
23.28%
VIG
VIG
< ETF >
Vanguard Dividend Appreciation ETF
$193.57
$1.58
(0.82%)
premium
2K Buy
1K Hold
138 Sell
Moderate Buy
premium
$83.57B
21.25%
VYM
VYM
< ETF >
Vanguard High Dividend Yield Index ETF
$125.77
$1.56
(1.26%)
premium
2K Buy
2K Hold
277 Sell
Moderate Buy
premium
$56.85B
18.86%