Hi all, I started my journey around 1 year ago. I was lucky to pick and enjoy the ride of $NVDA (+1,55%), but also made some other bad choices like buying $ASML (+5,92%) and $MC (+2,08%) at all times high. Only more recently I started investing more money into ETF's which still account for a small share of my portfolio. I bought $BTC (-1,4%) back in March and I was around 15% down but I just decided to hold it, to arrive here having a 30% at the moment. Amazing journey!
Around July/August I invested the rest of my savings when there was the first dip after a small panic everywhere of a possible recession. I was not ready for the second dip, but again I'm happy I decided to buy in the low, because the portfolio recovered again.
I would like to know your thoughts/feedback on it if you have some. I'm here to hear and learn, thanks!