Chrissy90
πŸ“Š Trading Update: Another Successful Week with πŸ—πŸ“.πŸ–πŸ•% Profitability! πŸš€ Hey everyone! This past week has been highly successful, and I’m excited to share my performance and strategy with you all. Over the last seven days, I closed 𝟏𝟐𝟏 trades, with an impressive 95.87% of them being profitable! πŸ’― My overall return for the week stands at +𝟎.πŸ’πŸ%, thanks to a well-thought-out and diversified strategy. πŸ”₯ πŸ’Ό Weekly Highlights: $NEM (Newmont Mining Corp) +πŸπŸ•.πŸ—πŸ•% gain from 3 trades. $SBUX (Starbucks Corporation) +πŸπŸ”.πŸπŸ“% gain from 10 trades. $TSLA (Tesla Motors, Inc.) +πŸπŸ“.πŸ–πŸ% gain from just 1 trade. $WPM (Wheaton Precious Metals Corp) +πŸπŸ“.𝟎𝟎% gain from 1 trade. $KO (Coca-Cola) +πŸπŸ‘.πŸ•πŸ—% gain from 10 trades. $ABBV (AbbVie Inc) +πŸπŸ‘.πŸ’πŸ‘% gain from 16 trades. $KGC (Kinross Gold Corp) +𝟏𝟎.πŸ”πŸŽ% gain from 1 trade. $VOD (Vodafone Group plc-ADR) +πŸ–.πŸ‘πŸ% gain from 2 trades. $BCE (BCE Inc) +πŸ”.πŸ’πŸ% gain from 5 trades. $PG (Procter & Gamble Co) +πŸ’.πŸ•πŸŽ% gain from 20 trades. $CSCO (Cisco Systems Inc) +πŸ‘.πŸπŸ—% gain from 20 trades. $VZ (Verizon) +πŸ‘.πŸŽπŸ’% gain from 5 trades. $0700.HK (Tencent) +𝟐.πŸŽπŸ–% gain from 11 trades. $PEP (PepsiCo) +𝟏.πŸ‘πŸ“% gain from 11 trades. $STNG (Scorpio Tankers Inc) -πŸπŸ’.πŸ–πŸŽ% loss from 5 trades (I reduced the position but it’s still part of the portfolio). 🚨 Tesla (TSLA): Currently, I don’t hold a position in Tesla, but that could change very quickly. I’m watching it closely and may jump back in soon, as I still see a lot of potential. πŸ“‰πŸš— πŸ’Ό My Current Portfolio Strategy: I remain invested in all the assets listed above, except for Tesla, where I currently have no position. Despite a small setback with Scorpio Tankers (STNG), where I reduced my exposure, it continues to be part of my portfolio. Gold and mining stocks like Newmont Mining (NEM), Wheaton Precious Metals (WPM), and Kinross Gold (KGC) serve as a hedge against market volatility and inflation risks. These assets play a key role in protecting the portfolio against downturns in the broader market. My strategy is based on strong risk management through careful asset allocation across different sectors. I’ve diversified into stable consumer goods companies like Coca-Cola, Procter & Gamble, and PepsiCo, while also including tech names like Cisco Systems and Tencent to capture both steady returns and growth potential. 🌟 Why Copy My Portfolio? β€’ Consistent Gains: Nearly all of my trades last week were profitable - an impressive success rate! β€’ Diversified and Hedged Strategy: I rely on a mix of reliable blue-chip stocks like Coca-Cola, Procter & Gamble, and AbbVie, while using gold mining stocks as a hedge against risk. β€’ Steady Approach: I’m committed to maintaining a balanced, thoughtful approach to risk and reward, aiming for long-term success over quick wins. πŸ”— Copy my portfolio now and take advantage of my strategy! Let’s grow together! πŸš€