Good morning,
I 34 have built up a portfolio like many people here.
Now I'm wondering whether I've made it too complicated.
I am considering selling all ETFs except for the $VHYL (+0.61%) and $VWRL (+0.64%) and to continue saving there.
I'm aware that I'm losing out on returns, but I'm alive now.
I'm also saving in the individual stocks because I like the structure of these companies and therefore want to give them an additional higher weighting.
But I would also part with 1-2 of them. And continue to invest in favor of the other companies. In this case I see $WMT (+1.51%) on the hit list. As well as the $CS (-0.65%) .
Please roast my portfolio and give me constructive criticism!

