Former Goldman CEO Blankfein (GS) Reveals High-Risk Portfolio, Bullish on Tech
Former Goldman Sachs (GS) CEO Lloyd Blankfein revealed his personal investment portfolio features 98% allocation to high-risk assets, maintaining a bullish stance on technology stocks. Blankfein disclosed his strategy on the "My First Million" podcast, contrasting with his prior warnings of a market "reckoning." Blankfein's portfolio primarily targets Technology, Energy, and Financial Services sectors. He confirmed holding a substantial amount of Goldman Sachs (GS) stock and positions in major cloud computing giants alongside their "secondary" competitors. Despite expressing concerns in March 2026 about potential financial instability, particularly from private credit markets, Blankfein stated he is not worried about an "AI bubble" and remains optimistic, noting that "being bullish on large tech stocks has always been smart."