3Mon·
Portfolio Feedback

Hello everyone.


I started investing around 2017/2018, initially into common funds, just last few years into stocks and etfs.


Most transactions are not correctly registered time-wise as they some positions were bought in more transactions or too much time ago.


The portfolio is mainly exposed to wards the US market and the target is to keep adding/adding to dividend growth companies and keep a reasonable diversification even if that might imply lower growth.


Possible future additions (also depending on overlaps with the etfs and common fund):


$MA (-0.63%)
$MCD (+0.17%)
$MSFT (+1.09%)
$JPM (+0.94%)
$DLR (+0.03%)
$CHD (-1.38%)


Also will add more to the world common fund and both etfs.


Any recommendations on what I should be looking into?


PS: I am aware about $INTC (+1.29%) being the odd one of the bunch, I am mostly interested in seeing what will happen to it in over an even longer time scenario.

13Positions
€13,854.96
2.58%
1

Join the conversation