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Consideration of rebalancing my portfolio


I currently hold two shares in my portfolio, $BMW (+1,99%) and $VOW (+2,44%) which have a total loss of €550. I am considering rebalancing these positions and investing in the S&P 500 instead, as I believe this could be more beneficial in the coming years.

However, I find it difficult to realize this loss. I would be grateful for your assessment of this situation and possible recommendations for action.

$BMW (+1,99%)
$VOW (+2,44%) --> $CSPX (+0,42%) ?

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5 Comentários

imagem de perfil
Volkswagen out in any case, you don't know where the journey will end. I wouldn't be sure about BMW and would keep it. In contrast to the Volkswagen Board of Management, BMW has a recognizable plan and I think the reactions of the last few months have been exaggerated.
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imagem de perfil
I agree with you. I would also go out.
The car brands haven't crossed the valley yet!
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imagem de perfil
I have - which is rather untypical for me - also thrown the recently purchased BMW out of the portfolio again. With a loss of a few hundred euros. But as long as the situation in Germany/EU doesn't change dramatically, I don't see any prospects for the local carmakers.

I could have thought about it beforehand, but oh well, sometimes you make mistakes.
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imagem de perfil
Or buy more, for the whole of next year. It's getting even rougher in the car sector.
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imagem de perfil
Get out of all the portfolio brakes and into $VUSA. Benchmark your stocks with a WELT-ETF or S&P
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