$HAUTO (+1,35%) I have a 2100 shares position in HOEGH and think about selling it completely at 200 NOK because it has grown to 13% of my portfolio. I want to reinvest 10.000 euro in $WINC (-0,31%) and the rest in $LDGL (-0,42%) to have stable dividend growth. Is there a flaw in my thinking or should I keep this cyclical stock but a winner so far?
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De-risk my portfolio
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6 CommentiHarry@FunHarry

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Melchior@ColdzeroNL

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•SpongeBob@SquarePants

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Melchior@ColdzeroNL

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SpongeBob@SquarePants

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Melchior@ColdzeroNL

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