$MU

LONG
24 Jun 2026, 16:54 UTC
Outcome
-12.2%
1-month return
-12.9%
vs SPY (1m)
Asset classetf
Post typeposition

Summary

The analyst plans to allocate a portfolio with 60% in SPY for covered calls, 10% in SOXX with a higher weight on semiconductors, 20% in growth stocks including MU and NBIS, and 10% cash.

Reasoning

Portfolio allocation with a higher weight on semiconductors and growth stocks indicates a bullish stance on these assets.

Original tweet

View on X

@ironimmigrant @TinyToothDDS I may go 60% SPY (for covered calls) 10% SOXX (weight higher on semis) 20% growth ($MU $NBIS) 10% cash

Return by horizon

1d
+15.7%
1w
-1.5%
1m
-12.2%

Price performance

HorizonRaw movevs SPY
1 day+15.7%+15.6%
1 week-1.5%-3.3%
1 month-12.2%-12.9%
3 months
6 months
AI-classified learn more
Confidence 95% · classified by openai/gpt-4.1-mini