Today I made a decisive restructuring in my portfolio and disposed of these 3 widely held stocks, among others:
In the near future, I also plan to liquidate my position in British American Tobacco $BATS (-2,08 %) in the near future and will sell $MO (-1,17 %) and $PM (-1,34 %) here.
This decision is based on my current market assessment and the focus of my portfolio on promising investments. Interestingly enough $KDP (-1,03 %) remains in the portfolio, as I continue to see potential here.
What adjustments have you made recently?