I slightly increase my position in $BMPS for the last good quarterly published. #myportfolio
#stocks
BMPMonte dei PaschiIT0005508921BMPSBMPS
The basic strategy is the same. After a long study, I select companies that I believe can give me value in the long term. I prefer management to know how to manage capital and make rational decisions. I look at future projections just to see if I can buy stocks at a lower price. #personalstrategy
#portfolio
$BABA (+4,21%)
$PYPL (+5,3%)
$RIVN (+0,86%)
$DOCS (-3,62%)
$BMPS (+0,76%)
$SPZ
I was in it for almost 3 years. The share price was close to 0, but the dividends meant that I made at least a reasonable profit on the bottom line. Not a bad company in itself, but I would like to reduce Italy in my portfolio. In addition $4704 (+0,22%) and $BMPS (+0,76%) have become high-dividend stocks this year thanks to strong dividend increases and I don't want too many of them in my portfolio. As a result, Enel has now become a candidate for elimination. Nevertheless, I can get out with a clear conscience and no regrets. I'll keep my fingers crossed for all those who are still invested :) The money will probably soon be $SHEL (+1,02%) but I haven't made a final decision yet.