EgidijusNainys
Performance 0% Return All
0% Return
11.79%2024
2024
10.68%2023
2023
-13.69%2022
2022
11.38%2021
2021
7.34%2020
2020
13.7%0%-13.7%
Return YTD 11.79%
Return 2Y 6.79%
Risk Score
4
Profitable Weeks 61.82%
About EgidijusNainysLithuania
About EgidijusNainys
Lithuania Timeframe: long-term play only (>1y).
Philosophy: investing in companies with strong fundamentals and great business prospects that sell at reasonable prices. Selling when fundamentals start to weaken significantly, or valuation gets absurdly high, or there are more attractive long-term opportunities. No leverage, reducing investment costs to the bare minimum. Enjoying dividends while watching businesses grow in value.
Aim: to have relatively steadily growing portfolio value with reduced long-term individual company risk as much as possible (wide margin of safety).
Consideration: volatility should be expected when investing long-term. A portfolio may drop double digits at times of market correction. Great opportunity to buy more stocks “on sale”.
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