I expanded my portfolio with an increase in value thanks to 4 shares of$VOW (-2,7 %) and 185 of $ABEV (-1,78 %) .
$ABEV (-1,78 %) added a touch of diversification to my portfolio, exploring new horizons with a penetration into the South American market and a fascinating entry into the beer sector. In addition, the company is an industry leader in its region.
$VOW (-2,7 %) continues to prove its strength, with a steady trend of profits in the 3-4 billion range, dividend growth, and a price per share that represents a bargain for a company that owns some of the best vehicle brands globally, from cars to motorcycles and trucks.
Both will remain in my PT for a long time 🤝
What do you think?