16H·

ETF + Stocks (Phase 1)

Hello,

I am in a portfolio change phase, looking to have a globally spread arrangement, with variety in geographic diversity and ETF with important nuance in dividends (50% accumulation, 50% diversification).


In equities, I am opting for three European companies, one U.S. company and one Chinese company.

All of them, except the Chinese, have previously been in my portfolio and perform very well.

$CS (-0,27 %)

$IDR (-0,48 %)

$ENEL (-0,72 %)

$T (-0,14 %)

$1810 (-0,77 %)

...

On the ETF side, I compensate for areas not covered such as emerging markets, Asia, the United Kingdom or funds such as MSCi World.


Any suggestions for improvement?

PS. The dividend part of my portfolio is resting until September, with several stocks on watch.

13Positions
1,21 %
1
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