2Settimana·

Consideration of rebalancing my portfolio


I currently hold two shares in my portfolio, $BMW (+0,87%) and $VOW (+1,96%) which have a total loss of €550. I am considering rebalancing these positions and investing in the S&P 500 instead, as I believe this could be more beneficial in the coming years.

However, I find it difficult to realize this loss. I would be grateful for your assessment of this situation and possible recommendations for action.

$BMW (+0,87%)
$VOW (+1,96%) --> $CSPX (+0,32%) ?

1
7 Commenti

immagine del profilo
Volkswagen out in any case, you don't know where the journey will end. I wouldn't be sure about BMW and would keep it. In contrast to the Volkswagen Board of Management, BMW has a recognizable plan and I think the reactions of the last few months have been exaggerated.
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immagine del profilo
I agree with you. I would also go out.
The car brands haven't crossed the valley yet!
immagine del profilo
2Settimana
I have - which is rather untypical for me - also thrown the recently purchased BMW out of the portfolio again. With a loss of a few hundred euros. But as long as the situation in Germany/EU doesn't change dramatically, I don't see any prospects for the local carmakers.

I could have thought about it beforehand, but oh well, sometimes you make mistakes.
immagine del profilo
Or buy more, for the whole of next year. It's getting even rougher in the car sector.
immagine del profilo
Get out of all the portfolio brakes and into $VUSA. Benchmark your stocks with a WELT-ETF or S&P
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