The year is coming to an end and for me personally it was the strongest year since I started investing 3 years ago.
There were many very red days, but of course also many very green days. The most important thing for me: no matter what happened, I stuck to my strategy.
My returns were not only generated by my savings plan, but also by making active decisions over the course of the year. I consistently invested several hundred euros a month through my savings plan. Mainly in ETFs such as the $IWDA (-0,79%) and $IUIT (-1,46%), supplemented by individual stocks such as $AAPL (-0,71%)
, $PEP (+0,45%) or also $ASML (-5,23%) .
I also bought additional shares on strong sell-off days. There have been a few of those this year 😅
If you take a look at my portfolio, you can see that I like to invest in large, high-quality companies that have temporarily come under heavy pressure. I deliberately focus on a rebound. Examples of this are $UNH (-0,73%)
, $MC (-1,29%) , $ASML (-5,23%) and $GOOGL (-2,96%) , which were undervalued for me at the time.
This year I also invested in crypto for the first time: bought several $ETH (-0,32%) for around 2k and later sold them completely at around 3.2k. ( A bit of luck definitely played a part in that :D )
All in all, it was an extremely exciting year from which I learned a lot and was able to take a lot with me.
Companies that I currently find interesting and am already invested in are: $ADBE (+2,3%)
, $SBUX (+0,43%) and $UPS (+1,23%)