So my strategy of getting to $1 million is not working how I wanted. I am spread out too much. I wanted to take an all in approach rather than $1000 here, $2000 there.
Here's my current portfolio
CBBT- 8000 shares
AAPL (only blue chip) 20 shares
BOXL 275 shares
TVTY 13 shares (I should probably close this out, I've been holding for about 2 years)
KBLB 10,000 (when are these spider going to start ####tin gold webs?)
COBCF 1,600 (Down 76% and still holding on to the dream)
HIPH 5,000, I thought CBD water was going to pop.