You earn badges by outperforming the market over various time periods, voting on content, and posting straws and valuations.
22.0% pa
Since November 2022
-7.4%
3 months
15.3%
6 months
12.9%
12 months
Lucked into out performance, looking to avoid mean reversion.
SM portfolio approximates the 40% of RL portfolio that's ASX listed. 30% is U/S listed (Google, Berkshire Hathaway GE Aerospace, GE Vernova), and 30% is VAS (Vanguard ASX 300).