3Wk·

Strategy update

Hi all

here's some info on my strategy, it's core-satellite method

ETF's is the biggest part with

Core:

$VUSA (+0.76%) & $VEUR (+0.67%)


Satellite:

$ASWC (+0.81%) & $DFEN (+0.74%) as Defense investing, due to EU pulling 5% of GDP with 2030 target

$IGLN (+0.12%) for the gold exposure, minimizing downtrend when markets drop

$JEGP (+0.53%) to make use of market volatility as source of income

$TDIV (+0.8%) past performance is great, dividends of 3-4% always nice income


Individual stocks: mostly dividend stocks as we can deduct €240-region of dividend income of those indidual stocks, sadly not of ETF's.


$$KBC (+1%) is marked as pension plan. I do work for KBC and once a yearn i can buy stocks and deduct some of it from my taxes, also buying on cheaper prices.

$UNP (+0.6%) will be a good long-term hold as america is still the biggest, and with trump it should have some long-term growth in it.

$ARCAD (-0.38%) is a value play, aiming to sell around €58, but in meantime, giving dividend to deduct taxes.

$JNJ: (+0.1%) always good to have this one, great long-term hold and steady source of dividends

$ASML (+0.75%) : love this stock, it's a monopoly and is growing strongly, keeping this as long as i like the progress

attachment
7
4 Comments

Beautiful portfolio
1
profile image
@Baklapverkoper it's not fully build yet, but the idea is good i think
profile image
Looks good
Neat
Join the conversation