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Which of my positions do you think I should make bigger (and why)?


On the following months I'd like to go for:


Airlines: $UAL (+0,13 %) or $IAG (-0,71 %) --> Good momentum, growth ahead, undervalued.


Insurance: $CS (-0,07 %) or $ALV (+0,28 %) --> Good dividend, good momentum, good perspectives, high dividend.


European Banks:
$ISP (+0,08 %) or $CABK (-0,81 %) --> Undervalued Vs American banks, better environment than years ago with lower valuations, higher interest and more security... possibility of gaining stock apretiation while receiving high dividends.


Homebuilding: $LEN (-0,62 %) --> They have a clear problem with lack of homes in the US, good valuation, good growth prospects.


Also tempted to double with my pharma losers $CAH (-0,19 %) and $AMPH (+0,11 %) , bought them when they were with good momentum and they've underperformed since, but I still like the future prospects... High growth, small caps, good drug portfolio... If I still like the numbers and they're cheaper now, should I double my bet here?(I hate going against momentum). $PFE (+0,11 %) also on the list, but I have it on a small saving plan. Shifting momentum but still early to say so I prefer to buy slow...


I'm not planing on adding stocks that are not currently in my portfolio.

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I doubled my $PFE yesterday, the price is good and I am happy to buy and hold it for a long period of time to get some more dividends
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