After $UNH (+0,3 %) confirmed its earnings forecast for 2025 yesterday and broke through my USD 320 line, I added a small certificate to my already large position in the portfolio, as my position in the portfolio would become too large.
As soon as the 200 line is almost reached, I would at least sell the certificate.
The current exit point is USD 406, the actual shares can remain in the portfolio until USD 450.
If the USD 406 mark is reached, the bond would yield around 75%.
Wait and see and drink beer, I'll keep you up to date.
The following shares are currently in my trading portfolio:
- $PETR4 (-0,18 %) my petty cash savings account (currently -4%) https://app.getquin.com/de/post/aSDtbJRBTL/kleingeldkasse
- DE000UG8AGR1 (said bill / currently +11%)
- $NVLH (+2,52 %) (currently -46%)
