Performance
All

12.62%2026
2026
22.69%2025
2025
31.05%2024
2024
47.63%2023
2023
-47.00%2022
2022
-10.78%2021
2021
-62.54%2020
2020
62.5%0%-62.5%
mmarco80
𝗣𝗼𝗿𝘁𝗳𝗼𝗹𝗶𝗼 𝗨𝗽𝗱𝗮𝘁𝗲 – 𝗚𝗿𝗮𝗱𝘂𝗮𝗹 𝗚𝗿𝗼𝘄𝘁𝗵 𝗮𝗻𝗱 𝗦𝗲𝗹𝗲𝗰𝘁𝗶𝘃𝗲 𝗗𝗶𝘃𝗲𝗿𝘀𝗶𝗳𝗶𝗰𝗮𝘁𝗶𝗼𝗻 Hi everyone, I would like to share a brief update on the portfolio following the latest adjustments. The portfolio now consists of nine positions, all currently showing a positive... Show More
mmarco80
Weekly Portfolio Update: Discipline, Transparency and Risk Control Hi everyone, I’m happy to share a short portfolio update as the profile continues to grow, now reaching 7 followers. Thank you to everyone following the strategy. The portfolio is currently up +6.91% in 2026, with a current risk score... Show More
mmarco80
Portfolio Update – Discipline, Recovery and Long-Term Structure Hi everyone, After the recent portfolio adjustments, the portfolio has continued to recover and is now at its highest level since the latest restructuring phase. I believe this is an important point, not because of the short-term result... Show More
mmarco80
Recovery is not about timing: it's about structure! Hi everyone, After recent volatility, the portfolio has shown a solid recovery. What I find most important is not the short-term performance itself, but how it was achieved. There were no drastic changes, no attempts to time the market, and... Show More
mmarco80
Discipline Over Activity Hi everyone, In recent days, markets have shown some volatility and short-term weakness across several asset classes. During these phases, it’s easy to fall into the trap of feeling the need to act constantly: buying every dip, adjusting positions frequently, trying to optimize... Show More
mmarco80
Portfolio Update – Strengthening Defensive Diversification Hi everyone, I made a small adjustment to the portfolio by adding a position in The Coca-Cola Company. The goal of this addition is to further strengthen the defensive component of the portfolio and improve diversification across different... Show More
mmarco80
Portfolio Adjustment Today I increased my market exposure and slightly rebalanced the portfolio to improve balance across asset classes. This adjustment does not represent a change in strategy, but a refinement of the portfolio structure while maintaining the same long-term investment approach. The... Show More
mmarco80
Portfolio Update – Consistency, Risk Control and Long-Term Growth Hi everyone, I’d like to share a brief update on my current portfolio positioning and approach. The portfolio is currently around +29% overall performance, achieved through disciplined diversification and controlled risk rather than... Show More
mmarco80
My Investment Approach and Current Portfolio Positioning Hi everyone, I’d like to share a brief overview of my current portfolio positioning and the principles guiding my investment decisions. In the current global environment, marked by geopolitical uncertainty, inflation risks and uneven economic... Show More

About mmarco80
Italy
Strategy: Multi-Strategy

Smart, balanced strategy. Copy for steady growth, solid dividends, and global exposure.
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20 Followers