포트폴리오

Portfolio analysis and rebalancing

Total Value
$35.7K
Total Return
+16.39%
+16.394863772650258%
Unrealized P&L
+$5.0K
Holdings
4
positions
Allocation
AAPL
25.6%
MSFT
31.3%
NVDA
27.3%
GOOGL
15.9%
Holdings
TickerSharesPriceAvg CostMarket ValueP&L
AAPL50$182.63$155.20$9.1K+17.7%
MSFT30$372.45$310.80$11.2K+19.8%
NVDA20$487.32$420.00$9.7K+16.0%
GOOGL40$141.58$130.00$5.7K+8.9%
Rebalancing Suggestions
NVDA비중 과다 — 목표 비중 대비 +4.2%p 초과
매도
META저평가 구간 — Ackman Score 상위 10%
매수
AAPL적정 비중 유지 중
중립