5 YEAR PERFORMANCE:
- PLTR: +1145%
- CVNA: +250%
- NFLX: +176%
- NVDA: +1526%
- CRWD: +544%
- UBER: 205%
- SE: 162%
- MELI: 281%
- QQQ: 131%
- SPY: 102%
- INDA: 105%
- COST: 233%
- ERJ: 720%
- SPOT: 347%
- MSTR: 3140%
- CMG: 199%
- META: 198%
- APP: 339%
- NET: 447%
- SMCI: 1413%
- GRMN: 142%
- AXP: 221%
- CROX: 353%
- MAR: 205%
- ANET: 611%
- COF: 217%
- EXPE: 148%
- TSLA: 516%
- HIMS: 311%
- PANW: 481%
- DECK: 400%
- SPG: 166%
- CELH: 2042%
- CYBR: 273%
- GOOGL: 150%
- AAPL: 183%
- MSFT: 149%
Following companies are “NOT” outperforming “YET” to the market (SPY, VOO)…in last 5 years…
- TOST: -10%
- FXI: -6%
- DKNG: 68%
- IWM: 62%
- OKTA: -23%
- SHOP: 59%
- AMZN: 68%
- BABA: -35%
- RBLX: 14%
- DASH: 12%
- ABNB: 84%
- AFRM: 7%
- NU: 10%
- Z: 65%
- HOOD: 27%
- SOFI: 15%
- QYLD: -17%
- TTWO: 76%
- ONON: 38%
- RYLD: -19%
- BAC: 81%
- COIN: -17%
- C: 57%
- CHWY: -13%
- MOH: 85%
- MNDY: 61%
- SBUX: 16%
- ROOT: -70%
- ASAN: -39%
- PYPL: -44%
- FND: 85%
List is arranged to the % Allocation in my long term portfolio.
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