Hi everyone!
I’ve been building this portfolio for almost a year now, following a long-term growth approach rather than chasing short-term explosive gains. So far, it’s up +5.30%. I’ve focused more on the italian and american markets with stoks such as $ISP (-1,27%)
$KO (-0,02%)
$BRK.B (+0,12%) that make more than half my portfolio. What do you think about my strategy and approach?
$VOW3 (-1,39%)
$PLTR (-1,08%)
$FCT (-0,28%)
$LDO (-0,12%)
$RHM (-2,08%)
$INTC (-1,8%)
$CPR (-1,18%)
$AXP (-0,56%)
$BMPS (-1,12%)
$FBK (-1,2%)
$G (-0,32%)
$GS (-0,51%)
$MCD (-0,54%)
$SL (-0,63%)
$ENI (+1,92%)
$BBAI (-2,77%)
$PRY (-1,14%)


