Bought: GOLD (added to position in Trading Portfolio) JPM (began position in Holding Portfolio)
SOLD: CRM (trimmed profits) MSFT (trimmed profits) SHOP (trimmed profits)
SOLD: AAPL (trimmed profits from extreme overweight to an overweight position, still our #1 holding after trimming)
BOUGHT: GOLD (First stage in dollar cost averaging into position, last 5 days has created a base at $29)
SOLD: FB (took profits and reduced exposure due to pulling of advertsiments)
SOLD: FB (trimmed profits) CGC (trimmed profits
SOLD: (Trimmed profits in the following) PYPL (up 145%) SHOP (up 190%) AAPL (up 85%)
SOLD: V (locked in 20% profit gain) TSLA (locked in 162% gain and closed position)
SOLD: (Trimmed gains in both) AMZN BRK.B
SOLD: (Trimmed profits in all the following) AAPL TSM SHOP TSLA