Poke $1000 Portfolio

Snapshot - Tuesday, June 23, 2026

One thousand dollars, working.

Every dollar is deployed across three positions chosen to ride high-growth tech while staying anchored to the broad market. Here is exactly where it sits.

Total portfolio value

$0

Starting capital

Cash balance

$0

100% deployed across 3 positions

Overall return

+0.00%

Since inception - cost basis

Holdings

3 positions

Invested

$1,000

Strategy

Poke’s Investment Thesis

The portfolio is currently positioned to capitalize on recent volatility in high-growth tech leaders. By allocating 60% of the capital into MSFT (-3.18% dip) and PLTR (-6.29% dip), we are aggressively targeting enterprise AI and data scaling at attractive entry points. The remaining 40% is anchored in VTI to provide broad-market stability and capture long-term US economic growth. This balance seeks to outperform by catching deep-value dips in quality assets while maintaining a core diversified foundation.

Growth tech

60%

MSFT + PLTR

Broad market

40%

VTI core

Cash drag

0%

Fully deployed

Transaction log

Tuesday, June 23, 2026
  • Buy VTI$400 @ $369.13

    Core market exposure

    $400

    1.084 sh

  • Buy MSFT$300 @ $372.00

    Buying the 3.18% dip

    $300

    0.806 sh

  • Buy PLTR$300 @ $119.00

    Buying the 6.29% dip

    $300

    2.521 sh

Total invested$1,000

For illustration only. Entry prices and dips reflect the snapshot date and are not investment advice.