Haven’t touched my brokerage account in a few years and priorities were elsewhere. I’ve started putting money here and there into SPY & VTI.
Here’s my question. I bought 8 shares of Apple almost 7 years ago at $44.20 / share, and 7 shares of Exxon Mobil 5 years ago at $44.78 / share. Dividends have been reinvested on both. Do I keep this $ parked here or reallocate it to SPY/VTI/VOO?
Open to different ideas of what anyone else would do with these two positions and why.