Hello!
Since yesterday $SHEL (-0,57%) represents the largest allocation in my entire portfolio.
I took advantage of yesterday's "market situation" and continued to butter up a few other stocks.
Specifically, I have increased my positions in $V (+0,66%) , $HNR1 (-0,3%) , $MUV2 (+0,19%) and $SHEL (-0,57%) have been increased.
I already invest in Shell on a regular basis anyway.
Do you also have certain stocks that make up a particularly high percentage of your portfolio? And if so, why/why?