I like have a diverse portfolio but I just keep selling other positions to buy more
$SOFI and
$PARAP. Sold
$DIS $SPWR completely and previously sold some
$LOW and
$PYPL I just feel like the market is giving me a gift at these prices so I should go with my two best ideas. I regret not buying more
$ENPH when it was a great price so trying to learn from my past experience.