Servus getquin community, am currently considering whether I should reallocate part of my investments. The talk is about $UIQK (+1%) which is my biggest position at the moment.
At that time I was looking for an ETF that combines commodities and energy supply, I came across $UIQK (+1%) came across. My goal was to benefit from the returns that these markets yield, but this works there only price-wise. Therefore, I am evaluating whether I want to invest a part in $RWE (+0,96%) and $RIO (+2,35%) and profit from the generous dividends and also possible price increases. In addition, it is said that sector ETFs are not always the best choice, which is why individual stocks now seem more attractive to me.
Of course, I am aware of the increased risk that this would entail, but I have been particularly impressed @DerCheruskerFuerst with its company presentation of $RWE (+0,96%) confirmed my opinion. $RIO (+2,35%) Would be a nice dividend payer with a nice focus on mining.
I could even imagine almost completely liquidating my position of $UIQK (+1%) but I would rather see a reduction of up to 70%.
Now I ask you, what do you think of my reallocation plans?