Hello everyone,
It's time for some criticism again.
Briefly about myself, I am 24 years old
and my strategy is a mix of growth and dividends with quality. I have the MSCI World as my basis.
I have bought very few shares recently, I hold a fairly high cash ratio. Only my ETF savings plans on $IWDA (+0,2 %)
$EIMI (+0,27 %)
$WSML (+0,22 %) are executed monthly.
I also have one or two speculative stocks in my portfolio, such as $ORSTED (+0,51 %)
$FXPO
$PYPL (-0,13 %) . I will sell these when the prices are attractive.
The absolute losers at the moment are $DGE (+0,3 %) & $PAH3 (+0,23 %) . With $DGE (+0,3 %) I am, however, considering buying more.
With $NKE (+0,13 %)
$TGT (+0,37 %)
$UPS (+2,98 %)
$NOVO B (+1,04 %) I am quite relaxed about the poor performance. I think patience will pay off here.
Feel free to give me feedback, I'm happy to receive any kind of constructive criticism! 😊