3Mon·

A nearly one year review

Hi everyone!

I’ve been building this portfolio for almost a year now, following a long-term growth approach rather than chasing short-term explosive gains. So far, it’s up +5.30%. I’ve focused more on the italian and american markets with stoks such as $ISP (+1.21%)
$KO (+2.74%)
$BRK.B (+0.46%) that make more than half my portfolio. What do you think about my strategy and approach?


$VOW3 (+3.1%)
$PLTR (+0.59%)
$FCT (-1.04%)
$LDO (-5.1%)
$RHM (-7.06%)
$INTC (+3.52%)
$CPR (+3.81%)
$AXP (+3.66%)
$BMPS (-0.46%)
$FBK (+0.98%)
$G (+1.04%)
$GS (-0.52%)
$MCD (+1.51%)
$SL (+2.39%)
$ENI (-0.25%)
$BBAI (-0.84%)
$PRY (-0.5%)

34Positions
5.30%
2
2 Comments

Portfolio as interesting as it is peculiar, having intesa as the main share is not exactly a move I agree with but I understand that high dividends attract. If I were you I would increase the weighting of etf over individual stocks so that you have a steady growth and not too volatile (which is exactly what I am trying to do as well).
Otherwise I've noticed a lot of interesting stocks and also a small exposure on cryptos, I haven't ventured into them yet but a small percentage on the portfolio I would share.
2
profile image
@Niccocesa thank you very much for the advice and actually I am starting to move to increase my positions on global and American etf.
Join the conversation