Overview

Value, trajectory, allocation, and what needs a decision today.

Portfolio performancevs S&P 500

Live Markets

Allocation by position

Level checks

Smart Moneyinsider · weekly

Performance

Return over time, composition and concentration.

Composition & concentration

By sector

By geography

Tech concentration

Single-name weight vs cap

Realised gains + dividends by source

Positions

Every position and candidate. Tap any row for its plan, levels and live read.

PositionSharesAvg costPriceDayMkt valueUnreal. P/LWeight

Unrealised P/L by position

Cost basis vs market value

ActiveStagedWatchtap a row for its plan, levels and live read

Today

Live state, worked out from current prices every time you open it.

Needs a decision

Deployment queue

Closest levels

Coming up

Weights vs limits

The rulebookCaps, entry and sizing, hedges, the AI warning monitor, guardrails, review cadence
Where the money sits, against target

By roleWhat job each name does

By horizonHow long it is held

Targets: AI 40–45% (of equity + cash), income 10–12%, healthcare/biotech 12–15% (biotech ≤10%, XLV 4–5%), gold 3–4%, CEG ≤7%. Unfilled names (Franklin, XLV, CEG) read 0% — that gap is the deployment signal. Index/growth/horizon splits are proposed defaults.

Standing rules
Long-term fund sleeve
MU sell ladder