Dante Loi
πŸ“Š Weekly Portfolio Adjustment Report πŸ“Š With the goal of bringing the risk score down to πŸ’, I’ve shifted the allocation towards less volatile assets! πŸ”» Reduced exposure in: $CXO.ASX (Core Lithium Ltd) $SGML (Sigma Lithium Corporation) $BMA (Banco Macro S A) BrainChip (BRN.ASX) These were among the more volatile assets in the portfolio, and trimming them helps dial back the overall risk. πŸ”Ί Increased positions in: $ALBPS.PA (Biophytis SA) Telstra (TLS.ASX) …and a few other lower-risk picks, reinforcing the portfolio’s resilience and long-term stability. ❌ Exited position in Shopify (SHOP) After the recent bounce, I believe most of the near-term potential has been priced in. No point chasing shadows. πŸ“¦πŸšͺ πŸ”„ Stay tuned for further portfolio evolution. As always, fully transparent and built for consistent, smart investing. πŸ’¬ Questions? Drop them below πŸ‘‡ πŸ“₯ Want to copy this strategy? You know what to do.
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