Total Portfolio Value
$1,312,628.05
+8.42% All time
Today's Change
+$12,847.32
+0.99% Today
Total Assets
7
Diversified Portfolio
Best Performer
META
+14.2% YTD
Holdings by Value
Allocation
Total Value
$1.31M
META
45.24%
AAPL
16.64%
MSFT
13.28%
NVDA
9.82%
GOOGL
7.42%
AVGO
4.89%
TSLA
2.72%
Stock Holdings
| Asset | Value | Shares | Price | 24h Change | Trend | Allocation |
|---|---|---|---|---|---|---|
|
Meta Platforms
META
|
$593,644.18 | 918 | $646.67 | +2.31% | ||
|
Apple
AAPL
|
$218,510.42 | 1,045 | $209.10 | +1.15% | ||
|
Microsoft
MSFT
|
$174,253.91 | 387 | $450.14 | +0.87% | ||
|
NVIDIA
NVDA
|
$128,917.63 | 952 | $135.42 | +3.28% | ||
|
Alphabet
GOOGL
|
$97,342.57 | 536 | $181.61 | -0.54% | ||
|
Broadcom
AVGO
|
$64,218.09 | 298 | $215.50 | +1.74% | ||
|
Tesla
TSLA
|
$35,741.25 | 102 | $350.40 | -1.82% |
Recent Activity
Bought META × 50 shares
Today, 2:34 PM
-$32,333.50
MSFT Dividend Received
Jun 8, 2025
+$302.19
Sold TSLA × 15 shares
Jun 6, 2025
+$5,256.00
Bought NVDA × 120 shares
Jun 4, 2025
-$16,250.40
AAPL Dividend Received
Jun 2, 2025
+$261.25
Sector Breakdown
Social Media
45.24%
Consumer Tech
16.64%
Cloud / SaaS
13.28%
Semiconductors
14.71%
Search / AI
7.42%
EV / Energy
2.72%