Hello, I am currently considering changing my portfolio and switching to a core-satellite strategy.
My main part should be the $SPPW (-0,44%) with approx. 45%. After that, dividend stocks will follow: $NOVO B (-2,5%) with 10%, $O (-0,19%) with 5%, $MO (-0,2%) with 5%, $MAIN (+0,3%) 5% and $PG (-0,11%) at 10%.
The growth values should consist of $NVDA (-0,74%) , $AAPL (-0,18%) , $2330 and $ASML (+0,55%) with 5% each.
Would you sign this or would you change something?
Table with values for an easier overview:
MSCI World SPDR - 45%
Novo Nordisk - 10%
Realty Income - 5%
Altria - 5%
Main Street Capital - 5%
Procter & Gamble - 10%
Nvidia - 5%
Apple - 5%
TSMC - 5%
ASML - 5%
Changes I have made so far:
Reduce Novo nordisk and procter & gamble to 5% r and add 5% gold and btc each.

