User's investment allocation as of September 17, 2026, shows 60% in ETFs (45% in Broad Market and Growth ETFs including IVV, VOO, FXAIX, SPY, QQQ, IVW and 5% in Income & Covered Call ETFs like JEPQ and JEPI) and 40% in single stocks, reflecting a diversified investment strategy.
FXAIXIVVIVWJEPIJEPQQQQSP500SPY
Statements (2)
- Neutral
User allocates 60% of portfolio to ETFs and 40% to single stocks as of September 17, 2026
- Neutral
User allocates 60% of investments to ETFs and 40% to single stocks as of September 13, 2026