Hey @all
Would you rather sell volatile stocks in the current high phase to take the profit and buy later?
Specifically, for me $ARCC (+0,78 %) (+12%), $MAIN (+0,27 %) (+25%), $O (+1,22 %) (+15%) are candidates that I am considering. None of them will hold these values, as they are much more volatile.
Or what do you think?
In fact, in the event of a decline, I would either put the profit back in with the proceeds or just the proceeds and the profit into an MSCI World.
Any ideas?