What do you think of this portfolio?
As I made a lot of mistakes in the beginning as a beginner and tried things out, I've now decided that I want to keep it that way in the long term.
❌and I run all things via a savings plan, which I adjust each month depending on my financial situation, a little more one month and a little less the next, depending on how much I have❌.
I have now diversified worldwide with the $IWDA (-0.19%) but of course not forgetting the emerging markets $EIMI (-0.33%)
but for a few dividends that I want to use to invest purely and a little more Europe, I have the $VDEV (-0.21%)
I also have a few stocks that I want to hold for life, which I will never sell, such as $KO (-0.19%) and $ALV (+0.43%) and $V (-0.17%)
and a few more stocks like Telekom PepsiCo main Street and a few extra dividends for the pure investing $O (-0.17%)
In the future I would also like to invest a little with Japan, which will now be included in the savings plan next month $8001 (-1.32%)
I would like to keep it that way for the next few years and not change anything in particular I think I would do quite well with it in the long run in my opinion
I have also considered possibly investing in gold $EWG2 (+0.64%)
$GZUR or $BTC (+0.93%) some money but most of it is already going into ETFs and shares so that's just a consideration for now
but of course I am open for advice on what can be optimized