A nice Sunday I wish you, hopefully it remains so beautiful after you have seen my depot 😂.
vllt a few info about me am 27 years.
I am invested since about 02.2022.
initially, my strategy was only to put on shares with high divi yield that you can also see in my 2 largest positions, but now I bespare shares with dividend growth as eg. $DE (+0.19%)
$TSCO (+0.12%)
$GS (+1.09%)
$MCD (-0.31%)
$PG (-1.24%)
$UNP (+0.81%)
$BX (+1.05%)
$TXN (-0.01%) (all 20€) in the event of a setback, I will buy larger tranches. In addition, I cover the Core MSCI World $IWDA (+0.23%) (150€ per month).
I am aware of the risk with my current stock selection and I know that I vllt a few 🆘 cash.
so my question to you because my 2 biggest REITS positions have too much weighting, rather sell a part or pull up the smaller positions?
I would vllt also 2-3 shares of other sectors still take up to diversify a little more, do you have suggestions ?