ngaba317
News in our portfolio in july: 📈 - we sell some $SOL - with more than 25% profit - we hold more than two year, so its shopping time 😬 also sell $AGNC (AGNC Investment Corp) more than one year and 3 position of $ML.PA (Compagnie Generale DES Etablissements Michelin SCA) - open new position in $SMFG (Sumitomo Mitsui Financial Group Inc-ADR) $CCJ (Cameco Corp) $ADM (Archer-Daniels-Midland Co) $AMZN (Amazon.com Inc) $COST (Costco Wholesale Corp) $AAPL (Apple) $KO (Coca-Cola) $PEP (PepsiCo) $SHEL (Shell PLC (ADR)) $APD (Air Products & Chemicals Inc) - and add some new, after 2 two months, i will write about them later: $SCHD $VIG $ALV.DE (Allianz SE) we start to change our portfolio this year, to not be so risky crypto will stay in our portfolio but will decrease the two etf will stabilize the swings July was 0,49% down - we are grateful and hope it will rise now 🚀 ytd: 3,47% this year: 3,3% What are your thoughts on september, will something change significantly till the election?