Greetings everyone!
My portfolio has developed in a very US and tech-heavy direction. I am strongly considering changing this.
This means that I will probably $XAIX (-1,94%) and shift into the $TDIV (-0,02%) would be shifted.
I currently have around 2.5k in my loss-making pot. I would probably fill this a little more as part of the reallocation by selling my old load. $MPW (-0,28%) by selling my legacy assets. That would add another 2.5k in losses. So 5k in total.
So I wouldn't feed the state quite as much - at least not yet. Profit of the $XAIX (-1,94%) is just over 7k.
What do you think?
Would the $TDIV (-0,02%) a good choice for this?
Or would it be better to just keep it running and do nothing?
As always, I would be very grateful for any tips/discussions/suggestions 😉
Best regards!
