3Wk·
Portfolio Feedback

Hello everyone,


it's time for some feedback again!


Briefly about the long-term strategy. I currently save monthly $IWDA (+1.15%)
$EIMI (+0.32%) and $WSML (+1.59%) . I definitely want to increase the ETF share over the next few years. I definitely invested too little here at the beginning.


With very small sums I invest in stocks like $ASML (+2.76%)
$AAPL (+0.63%)
$MCD (-0.29%)
$MC (-1.52%)
$MSFT (+0.16%)
$AMZN (-1.66%) and co. There I have split the execution to 2x per month. If it drops significantly, I buy in tranches.


So that the dividend doesn't come up short, I still have stocks like $O (+1.53%)
$KO (+1.57%)
$DGE (-0.51%) and my overweight $BAT . I don't work with savings plans for dividend stocks. Here I only buy in tranches if the share falls significantly. Provided I am still convinced of the investment. I try to focus exclusively on established quality companies.


I only see these candidates here as a trade. I will definitely part with them if the prices are attractive $BNTX (+6.37%)
$FXPO (-0.8%)
$ORSTED (-1.3%)
$PYPL (+1.02%)
$YSN (+3.39%)
$SIX2 (-0.88%) .


Conclusion

-Increase ETF share

-Increase the investment amount of the individual positions

-Reduce overall portfolio positions


I look forward to any constructive criticism!

37Positions
€83,066.78
6.55%
18
2 Comments

So I would buy Mercedes, Porsche, Asml, lvmh & basf right now
But the depot looks good
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