Season 2 Episode 17
Summary: Tech leadership fuels a diversified 5% portfolio anchored by VUAG, with mega-cap drivers (MSFT, NVDA) and regional tilts (BAE, BAKK, CCJI). Key levels and breakout potential guide entries, while risk controls keep pullback entries in play. Macro and currency dynamics—especially USD strength vs GBP—shape returns. Three-month bias remains constructive on breadth in tech. 🚀📈💼🌐🇬🇧🇯🇵💹
Published on 1 day, 11 hours ago
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