Hello,
I would like to have my current portfolio valued.
The portfolio consists of a combination of ETFs (MSCI World, Emerging Markets, S&P 500) and several individual shares (including Microsoft, PayPal, Fresenius, Bechtle, SolarEdge etc.).
I gambled once and bought more stupidly. Arbor metals and Bechtle were also punished, although I am optimistic about Bechtle.
My ideas are to partially reduce the portfolio and shift more into ETFs again. I got into the stock market during Corona plus further training and new jobs from 0. $
