2Mon·

hey 🙌

a question I have already been able to change a lot now thanks to your tips that have answered me

I now have Johnson & Johnson $JNJ (-1.21%)

Merck&co $MRK (-1.78%) and abbvie $ABBV (-0.32%) in my portfolio.


I want to sell one of them, but personally I'm leaning towards abbvie.

Because I want to hold it long-term for a few years or should I just keep all three?

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would keep them all. think long-term.
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All three are good, but if I had to eliminate one, it would probably be AbbVie.
I only have Abbvie, I didn't want to overweight the pharma sector so much. However, Abbvie has been in the savings plan for a year and I still see potential there

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