I recently started this portfolio, being the reason it’s still quite small and not well balanced.
I would like to significantly expand my $PRAE (-0,69 %) position, lowering the percentage of my portfolio that $MELI (-0,62 %), $NU (-2,73 %) and $GRAB (-1,34 %) take up.
The primary reason for not investing in the US is because I believe that a large part of their stock market is overvalued, and that the people and politicians there will bring the country to its knees.
Long-term I see much more potential in Europe and Latin American.
Feel free to disagree.
