I was pleasantly surprised to see my portfolio open green this morning. Now up 0.8%. ETN is 50% of my portfolio. JPM and CVX are #2 and #3.
I do not need much. If I push it all to cash it is OK.
If the USA fails it does not matter anymore.
I am on high tech and some food stocks. I am gonna stick with S&P growth. I have 5 years to ride it.
I would like to help youngsters to ride it but that starts with housing. Outta my league now.