Hi there.
I would like your opinion on rebalancing my portfolio. So far I have been a bit haphazard, which I would like to change more and more.
Some individual positions are definitely too large and others too small (due to bonuses in TR or bad buys).
I would now like to build up the core:
- $VHYL (+0,27 %)
$XSX6 (+0,2 %)- and a third ETF (?)
Keep and run as a savings plan in any case $ALV (+0,15 %) and $O (-0,01 %).
I still find the following interesting $NVDA (+1,34 %) and $AAPL (+0,55 %) -> but I would probably have to reduce the individual positions?
$BTC (-0,27 %) I would potentially hold and combine with $EWG2 (-0,74 %) as satellites in the future.
I'm rather unsure about the other positions - I'd rather wait for the exit, but I would most likely keep $BNTX (-0,67 %)
Please don't be too harsh on my portfolio 🙈 I'm aware that I've made some mistakes ...