Allocation For the Year

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📊 Improved Allocation Plan
1. Core Holdings (Stable Compounders)

Consistent earnings and defensive traits:

T (AT&T) – steady cash flows, stable telecom exposure. ekran görüntüsü

PM (Philip Morris) – defensive consumer staple, high dividend.ekran görüntüsü

CNP (CenterPoint Energy) – utility stability, defensive ballast.

VRSN (Verisign) – cash-generating monopoly-like business.

➡️ Suggested Weight: 25–30% combined

2. Growth & Innovation Plays

To capture upside from secular themes:

PLTR (Palantir) – data/AI defense and enterprise growth.ekran görüntüsü

APP (AppLovin) – app monetization and gaming ecosystem.

GOOGL (Alphabet) – core tech exposure with AI tailwinds.

NFLX (Netflix) – content moat, global growth.ekran görüntüsü

➡️ Suggested Weight: 25–30% combined

3. Cyclical & Industrial Leaders

These give exposure to economic recovery and capex cycles:

HWM (Howmet Aerospace) – breakout base, aerospace uptrend.ekran görüntüsü

RTX (Raytheon Technologies) – defense/aerospace diversification.ekran görüntüsü

CME (CME Group) – volatility/hedging proxy, strong cash flows.

CBOE (CBOE Global Markets) – options/liquidity boom exposure.ekran görüntüsü

➡️ Suggested Weight: 20–25% combined

4. High Beta / Tactical Rotation

Shorter-term, opportunistic holdings that juice returns:

TPR (Tapestry) – discretionary rebound.ekran görüntüsü

STX (Seagate) – storage cycle, AI demand tie-in.ekran görüntüsü

DG (Dollar General) – consumer resilience.

HOOD (Robinhood) – retail flow capture, optionality.

➡️ Suggested Weight: 15–20% combined

5. Satellite / Alpha Enhancers

Niche names with asymmetric potential:

RPRX (Royalty Pharma) – biopharma royalties, steady income.ekran görüntüsü

LDOS (Leidos) – government contractor/tech defense.ekran görüntüsü

VST (Vistra) – power utility + renewables angle.ekran görüntüsü

KR (Kroger) – consumer defensive.

MO (Altria) – high yield, value.

AVGO (Broadcom) – semiconductor powerhouse, AI demand.ekran görüntüsü


➡️ Suggested Weight: 10–15% combined

🚀 Adjustments vs Past Allocation

New Adds: HWM (confirmed breakout), RTX (defense exposure), AVGO (AI), or NVDIA.
ekran görüntüsü

Keep: PLTR, APP, GOOGL, TPR, STX, T, PM, etc. ekran görüntüsü

Trim/Rotate: Smaller weights to KR, MO, add more CBOE, STX, VST to keep liquidity.

Balance: Defensive core vs. high beta growth.

Feragatname

Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, alım satım veya diğer türden tavsiye veya öneriler anlamına gelmez ve teşkil etmez. Kullanım Koşulları bölümünde daha fazlasını okuyun.