Hello!
I have been actively working on my portfolio since the beginning of this year, my strategy is to go towards dividends and a safe investment in ETF's with ETF's I want to achieve a balanced weighting that is not too American-heavy but also focuses on Europe.
I have a monthly savings plan of €300 which is divided as follows:
50 € $IWDA (-0,23 %)
50 € $EXSA (-0,32 %)
40 € $ZPRG (-0,38 %)
40 € $WQDS (-0,55 %)
20 € $O (-0,04 %)
15 € $VZ (-0,15 %)
15 € $ULVR (-1,95 %)
10 € $JPM (-2,47 %)
10 € $JNJ (+0,69 %)
10 € $PG (-1,41 %)
10 € $ENB (-0,74 %)
10 € $ALV (-1,79 %)
10 € $KO (-0,43 %)
10 € $MCD (+0,15 %)
Please do not pay too much attention to the crypto positions, I will liquidate the Shitcoins in the near future when prices are good and switch to ETFs/shares.
Now to my simple question, what do you think of the portfolio? Is it good for my strategy or do you have any tips?

