This is a large cap tech company index fund, you have Apple Amazon meta. You get a lot of high sector risk because you're basically in one sector and no small cap so you don't have that much growth potential. Would I go for it now, probably not because you know I try not to forecast the market but it's looking pretty bearish recently. The other question I find more interesting is do you know how bonds are going to perform compared to cash over the next year? It requires a crystal ball to answer right should you sell your bonds and go to cash.

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