ST_ZZK
Edited
Hello, The portfolio changes since the last post are: Added positions: $WBA (Walgreens Boots Alliance Inc) @ 11.97 $GSK (GlaxoSmithKline plc ADR) @ 38.25 $BNTX (BioNTech SE-ADR) @ 80.45 $STLAM.MI (Stellantis NV) @ 17.99 $UN0.DE (Uniper SE) @ 42 Closed positions: $VTI @ 270 +30.25% $TSLA (Tesla Motors, Inc.) @ 250.18 +49.82% $ESSITYB.ST (Essity AB ser. B) @ 296.2 +13.6% $ESSITYB.ST @ 269.2 +25.25% $INFY (Infosys Limited-ADR) @ 21.43 +36.4% $XEL (Xcel Energy Inc) @ 57.12 +17.77% $T (AT&T Inc) @19.51 +20.3% The cash position is about 58.4% It has been brought to my attention that the spun off companies are shown in your main portfolio and not inside the copied popular investor position, so please adjust your take profits for the following positions (if you see them in your portfolio): $SVITZR.CO (Svitzer A/S) @ 266 $SOLV (Solventum Corporation) @ 92 $GRAL (Grail Inc) @ 20