Hi all, My current portfolio size is 2M. Holdings: FFC (26%), GLAXO (6%), HUBC (10%), LUCK (12%), MEB (7%), OGDC (10%), PPL (7%), MLCF (3%), MTL, NATF, PSO (17%), UBL (8%) I invest monthly around 200K or buy on dips. Total stocks: 12 Any suggestions for improvement?