Meal together!
I had to hand over this nice part of my portfolio with a teary eye.
I held Unilever for about 3-4 years. I'm a big fan of dividends, but you can guess what would have happened to the amount in Msci.
I decided to significantly rethink my strategy. I therefore shifted heavily into the Msci.
What does that bring me? Definitely peace of mind.
In future, I will reduce my portfolio by further positions. However, I won't give up grinning when the dividend arrives.
What do we learn from this? Sometimes the easiest way is also the most successful.
To beat the market, you usually need a fair amount of luck 🤓