MY TARGET &
STOCK MARKET HISTORY (+ ANNUAL RETURN)
TARGET SETTING
since 12/2020:
To accumulate knowledge and experience by the end of my studies in order to be able to apply as much leverage as possible to savings sums in addition to the following full-time job. > 4% passive in World
Return during studies (-2025) irrelevant due to only 4-low 5-digit investment/smaller savings amounts.
Meaningful Learnings, which go beyond the known basics, I share in posts
All previous:
https://app.getquin.com/activity/vbhoXEmiII
STOCK HISTORY
2019
- Isolated trading with CFDs
One-time investment sum in 2020, then mostly reinvest, hardly re-buy.
2020 (+52%)
- Interested in fundamentals in and out of college (market psychology, balance sheets, financial statements, ratios, valuation).
ETFs, crypto, 2 NFTs bought.
2021
(+83%)
- First TA addiction, unfortunately only learned, not applied
- Banking workshops besides studies
ETF, partly crypto profits sold
Bought stocks (without TA basis :(
Gambled with derivatives
2022 (-54%)
- First real trading strategy from May to December + / - 0%.
Sold NFT with high profit, partly reinvested in crypto scam
Annual performance
2023- today
- 1. optimized trading strategy (swing, between price action/ volume)
Stocks hold
Cash build up to change strategy no later than 2024:
Midterm Momentum strategy for direct stock investments and otherwise trading capital where possible.