A lot has happened in my portfolio again in recent weeks. In addition to a few sales (including $GOOGL (-0.77%) and $NVDA (+0.07%)) from hot sectors, I have built up cash and diversified further ($CMG (-0.89%)
$SNPS, (-0.92%)
$BRO (+0.11%)
$AMGN (+0.4%)
$LSEG (+0.78%)). Further acquisitions and new entries (e.g. $INTU (-0.79%)
$ADP (-0.21%)
$WM (+0.26%)
$CTAS (-0.62%)
$RMS (-1.86%)) are planned. As short- to medium-term trades, I have invested in $Adobe (-1.38%) and $TTD (-0.25%) as short to medium-term trades. I mainly invest for the long term, but a correction (technology, cloud) including sector rotation (consumer, pharma, software) seems inevitable to me. I am therefore taking a wait-and-see approach and, if necessary, I will reenter $GOOGL (-0.77%) and $NVDA (+0.07%) again at the appropriate time.
Please let me know what you think.
I will probably share future updates with you every two months at the beginning of the month (November, January,...).
I wish you all a successful time.
