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Whereby one must say that if one had bought all NiftyFifty companies, even at the all-time highs, one would still have made a solid return to date. (2% of the portfolio in Walmart would have even been enough) As far as my state of affairs at least. 👀
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@Gerit does not beat the $VWRL, thus far too high risk exposure for far too little return
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@Gerit I understood the post mainly as a doubt about the core satellite portfolio so often found at gq. And they are all about outperformance, otherwise there would be no need for satellites.
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