We are continuing to tidy up and restructure.
From $ULVR (-3,5 %) I simply had too much in the portfolio for the performance. It has now been reduced somewhat.
I bought the ETFs $SLICHA (-4,98 %) and $VUKE (-6,34 %) so I bought Unilever again 🙃 The rest goes into $NESN (-3,88 %) and $SPY (-5,34 %) or $VHYL (-4,8 %)
The aim is still to increase my ETF holdings and add to individual stocks up to at least 5000$/€/CHF.