For the next 3 years
Stock # RISK FACTOR Portfolio
CASH NONE 0.3
FB MID-HIGH 0.05
APPL MID 0.1
GOOG LOW 0.2
TSLA HIGH 0.03
BRK.B LOW 0.2
SP 500 INDEX LOW 0.12
it should bring a 15-18% annual avg return, if there's a mini stockmarket crash, hold for 1-2 more years. Not bad counting you keep 30% cash for opportunities arising like FB going public. I would bet against GoPro if it's not too late to do that
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