Aleksi Tuuri
Aleksi Tuuri@TuuriInvesting

Performance
All

2.46%2025
2025
11.60%2024
2024
18.89%2023
2023
4.54%2022
2022
18.9%0%-18.9%
Top
TuuriInvesting
How to Keep Your Investment Costs Low πŸ’Έ Investment fees and expenses might seem small, but they can have a significant impact on your long-term returns. Over time, high fees can eat away at your profits. That’s why it’s essential to choose low-cost investment options whenever possible. Index funds,... Show More
Like CommentShare
null
.
TuuriInvesting
The Importance of Long-Term Investment Goals 🎯 Investing isn’t a get-rich-quick scheme; it’s a long-term commitment. The most successful investors set clear, long-term goals and stick to them. These goals act as a roadmap, guiding your investment decisions and helping you avoid the trap of short-term... Show More
TuuriInvesting
If Everyone Knows It, Is It Still Worth Investing In? πŸ€” It seems almost undeniable that Europe’s defense industry is set for rising demand in the coming years. Geopolitical tensions, increased defense budgets, and the need for modernized equipment all point to a booming sector. But here’s the key... Show More
Like CommentShare
null
.
TuuriInvesting
πŸ“‰ Will the U.S. Economy Enter a Recession in the Next 6 Months? πŸ“Š Markets are facing uncertainty as inflation remains sticky, interest rates stay elevated, and consumer spending shows signs of slowing. Additionally, rising trade tensions and tariff uncertainties are adding pressure to global supply... Show More
πŸ”Ή Yes, a deep recession
100.00%
πŸ”Ή Mild slowdown only
100.00%
πŸ”Ή No, soft landing ahead
100.00%
πŸ”Ή Growth will accelerate
100.00%
TuuriInvesting
πŸ“ˆ What Really Drives Stock Market Returns? Insights from Hendrik Bessembinder’s Research πŸš€ Most investors assume that the stock market is a game of picking winners and avoiding losers. But what if I told you that the vast majority of stocks actually underperform Treasury bills, and only a small fraction... Show More
TuuriInvesting
Investors React: Trump-Zelensky Impact πŸ“ŠπŸŒ In light of today’s meeting between President Trump and President Zelensky, global markets are watching closely. Investors are weighing different strategies to adjust their portfolios amid this uncertainty. Please share your perspective on the best approach... Show More
Increase stocks πŸ“ˆ
100.00%
Increase cash πŸ’΅
100.00%
Increase gold πŸ₯‡
100.00%
Increase bonds πŸ’³
100.00%
Like CommentShare
2 of 3
null
.
TuuriInvesting
Understanding and Assessing Your Risk Tolerance βš–οΈ Every investment carries some level of risk, and understanding your personal risk tolerance is crucial. Risk tolerance refers to your ability to endure the ups and downs of the market without panicking. It’s influenced by factors like your financial... Show More
TuuriInvesting
@rodischeele Thank you for choosing to follow and copy my eToro portfolio! My portfolio focuses on long-term investing, combining direct equity investments with cost-efficient ETFs. It emphasizes diversification across sectors, geographies, and asset types to manage risk and build resilience against... Show More
TuuriInvesting
Do you believe demand for the defense industry in Europe will grow significantly in the coming years? Recent geopolitical events have raised questions about future defense needs in Europe. How do you see demand for the defense industry evolving in the coming years? $RHM.DE (Rheinmetall AG) $SAABB.ST... Show More
Yes, demand will grow rapidly
100.00%
Moderate growth is expected
100.00%
Growth will be limited
100.00%
No significant growth expected
100.00%
TuuriInvesting
Hey everyone! 🌟 Just a friendly reminder that in February, the following companies in my portfolio will still have their ex-dividend dates. If you’re keen on receiving these dividends, make sure to copy the portfolio before the ex-dividend date. πŸ’Ό $EMR (Emerson Electric Co), ex-dividend day February... Show More

About TuuriInvesting
Finland

Wide Moat Companies & Multi Asset Diversification πŸ“ˆ
Show Full Bio
Strategy: Value
14 Copiers
487 Followers
The portfolio is well diversified across various assets and sectors, with a balanced distribution that mitigates concentration risk. The allocation reflects a mix of industries, regions, and asset types, contributing to overall portfolio resilience.