With the posting of $MSFT (-0,28%) , $ABBN (+0,32%) , $SAP (-0,42%) and $AAPL (-1,02%) my portfolio has broken through the 100k mark. A position with 30 $BRK.B (-0,14%) should be booked in the next few weeks. USA is still underweighted at the moment, so I would like to buy $VUAG (+0,16%) buy more.
What do you think of the current allocation?
