Friday, May 30, 2025
Visualizing the Strategy
To illustrate the portfolio allocation shift for crisis resilience, here’s a chart comparing your current allocation (based on prior discussions) to the proposed “Paranoid Survive” mix, emphasizing defensive sectors, cash, and hedges.
Grok can make mistakes. Always check original sources.
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Notes
Dimon’s and Buffett’s warnings create a compelling case for your “Paranoid Survive” approach, reinforcing your focus on cash reserves, defensive holdings, and diversified income sources. The updated strategy leverages your existing holdings (PG, JNJ, OGE) and aligns with your Buffett-inspired criteria, while addressing Dimon’s specific risks (bond market, tariffs, deficits). The chart visualizes the shift toward resilience, increasing cash and defensive allocations while reducing bond exposure. If you want to tweak the allocation percentages, explore specific sectors (e.g., utilities for AI-energy growth), or analyze a particular holding’s intrinsic value, let me know!
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