Hi guys,
I wanted to hear your opinion on my portfolio and on my strategy.
As you can see I currently own 7 stocks and 2 etfs. The etfs i plan on keeping them in the long term and i'm putting in €150/month in both of them.
Different story for the stocks.
The ones i wanna keep in the long term are $NVO (-0,1 %)
$INFY (+2,14 %) and $PYPL (+0,25 %) and my plan is to add money whenever I can. I have money available to put in right now, i'm waiting for a good price and then i'll increase these 3 positions.
$GRAL (+0 %) is a short-mid term investment. I'm really positive about what they're doing, I really like the company and i'll keep it for a while; at least until early 2026 when we will probably know if they can expand globally.
$NVDA (+0,24 %) I plan to sell my position by the end of the year, hoping to make good profit, and put the money elsewhere (still don't know where).
$PDD (-1,6 %) I bought some the other day as a short term investment hoping that the quarterly figures next week are good enough to make a decent profit and my plan is to sell them by the end of the month.
$DRO (+0,22 %) I don't even wanna talk about it. Yes, I made a mistake. Yes, i lost money. And yes, i learned a lesson. Let's move on. I'll probably leave it there and forget about it.
I'm currently looking around to find interesting stocks and companies that i like and that i want to invest in and to keep in the long term, but for the meantime this is what I want to do.
If you have any suggestion please let me know. Thank you!