Your portfolio may have way more Nvidia than you think

NVIDIA
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Your portfolio may have way more Nvidia than you think Most investors holding individual tech names alongside an index fund and a sector fund own the same companies two or three times over without noticing. James Taylor argues the tax bill on exiting matters more than the concentration itself, and that the fix is a schedule rather than a sale. John Belton takes the other side, that concentration in the index is rational because earnings are concentrated too. Taylor runs a $6 billion practice for engineers in Palo Alto, so his clients hold these names as employees rather than as positions. Recorded before the September Fed decision. Featuring Kenny Polcari, Host, Trader Talk, Yahoo Finance John Belton, Portfolio Manager, Gabelli Funds James Taylor, Founder, The Taylor Group, Wells Fargo Advisors Timestamps 0:00 Who these two manage money for 2:12 The AI doom post that moved semis 3:19 Who should slow AI down, the government or the companies 4:40 Narrative control ahead of the IPOs 5:32 Why slowing down could mean earnings higher for longer 7:25 Why insiders are holding instead of cashing out 8:31 Unwind it, don't dump it, and the tax reason why 9:58 Apple, Nvidia, Amazon, and the funds that own them again 11:01 You sustain wealth by diversifying, not concentrating 11:54 Is a drawdown coming before the midterms 14:04 Microsoft at 350 was a screaming buy 15:28 The Fed debate, recorded before the September decision 17:22 Three inflation impulses, and whether they are transitory 19:57 Buy the companies that earn their multiple 21:
  2026/09/23      youtube
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