19H·

Did someone say "end of the quarter"?

Just another quick update from the depths of my portfolio. To be honest, not much has happened. Unfortunately, September really messed up my performance 🤪 But it’s all good.


My focus has shifted a bit toward my CHF investments $NOVN (+2,07%) and $SREN (+1,05%) these are new additions from Q3. Savings plans are still ongoing with $SLHN (+0,18%) and $ZURN (+0,28%) plus a few additional purchases of individual stocks $NESN (+0,39%)
$ACLN (-4,37%)
$VZN (-1,25%)


As for U.S. stocks, from now on I’ll only be making selective purchases, such as with $CARR (-1,37%)
$MCD (-0,29%)
$VZ (+0,09%) ; savings plans have been paused. My euro investments haven’t changed much either, except for reinvested dividends from the ETFs.


Speaking of dividends—and watch out for this milestone! My portfolio has surpassed the €100k gross dividend mark 🥳 In a maximum of 5 years, the €200k mark should be reached at €20k gross per month—and the trend is upward.


The plan for Q4 is therefore to continue making targeted purchases (on the defensive side) and build up cash reserves.

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