New to this need help 

I have:

1x nvda share

0.1852x msft

17x wti Offshore 


Not going to use margin/leveredge or day trading

Just buy & hold Progressive exposure, DRIP, Growth,

Use percentage & risk factor 

I have a w atchlist im eyeing up, but ik thats 

late game, for a $313~usd acc need someone to talk to to help me not make bad buy ins ie if its gonan drop alot more, idk how to read market data, but im keen to learn so i do not make the typical mistakes



Ive seen these four came across my algorithm while i had like 55 in nvda, i made a few (84) trades (learnt that fees eat it, so need help figuring out the risk factor thing, mostly from yt: wallstreet trapper, mark tilby, craig percoco, ross cameron



S&p 500 (voo)

vuaa, .xsp, xle, schd, pltr, 

Roth ira

Nvda, aapl, msft, goog, amzn, meta, tsla

Also looking at

Gpc, Shoc, ko, wmt, intc, pep, emr, pg, tsm, nflx, 




Idk i had to post for some free points may as well reach out for help too lol, 

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