Hello Community,
I (28 years old) am currently somehow dissatisfied with my portfolio and hope to get some ideas/tips from you.
My investment period is long term (10-15 years) and the basis is the MSCI World + in the future the STOXX 600 will be added. The portfolio is currently tech and USA-heavy, but as I think tech will determine the future and the companies are active worldwide, I would have rated this as "ok to good" or is this rather overweighted?
What would a good roadmap look like?
I would keep the following positions keep:
$IWDA (+1,08 %) MSCI World
$NVDA (-0,3 %) Nvidia
$EXSA (+0,81 %) STOXX 600
$MSFT (+1,05 %) Microsoft
$META (+0,12 %) Meta
I am unsure about the following positions unsure:
$O (+1,25 %) Realty Income
$WM (+1,32 %) Waste management
$AMD (+1,62 %) AMD
$SBUX (+1,37 %) Starbucks
$MUV2 (+0,52 %) Munich RE
$PLUG (+0,58 %) Plug Power - Realize losses or continue to hold?
I would close:
$DWS (-0,3 %) DWS Group - currently Ex traded. Sell at +-0
Have a nice weekend and thank you! :-)