1J·

Selling $vusa SP500 or hold with my dividend strategery?

I’m thinking about selling half of my $VUSA (+0,24 %) position with a 10% profit and buying more defensive stocks like $PG (-1,13 %) and/or $ULVR (-0,7 %) .

The reason behind this is that I want to shift my portfolio toward lower-risk, dividend-paying stocks. However, with the S&P 500, I currently have much broader diversification across companies. I’m considering either PG or ULVR — although Unilever isn’t a U.S. company. What is a good thing for spreading out ??

2
Participez à la conversation