Hello, here is my current portfolio. With a current return of -3.77%. How would you rate it?
My savings plan:
70% $VWRL (+0,1 %) Core
15% $WGLD (+1,97 %) - I am convinced of gold
15% $MEUD (+0,35 %) - Patriotic, deliberately overweight Europe
+ occasional BTC purchases.
$MSTR (+1,96 %) and $CSNDX (-0,18 %) are sold as soon as they are green and regrouped. Realizing losses probably makes no sense here?
