Hello everyone,
A brief introduction to myself:
I am 22 years old and am currently doing a dual degree in business administration. I started investing when I was 17 and, after making a few mistakes, I built up my portfolio using a core-satelite strategy. The $IWDA (+0.23%) my basis.
Today, however, I would like to share my "gambler's portfolio" with you. Since February of this year, I have occasionally tried out leverage and relied heavily on momentum. I've learned a lot in the process, but above all that greed is the worst thing you can trade. I didn't sell some derivatives at 300% plus and later slipped into the KnockOut area.
After the brief setback at $NVDA (+2.01%) I sold some of my derivatives and entered the market with what I considered a large amount.
I am betting on $MC (-0.25%) on a long-term recovery.
$ASML (-1.59%) has found a bottom at just under 605 and has therefore been added to my portfolio as a knock-out certificate. I intend to continue holding it, as the sales forecasts and the figures from China make me optimistic that the recovery will continue.
Please leave your opinion on my very risky portfolio below the post.
Many thanks in advance
Do you also like to "gamble" with some of your money?