Scalpel78
πŸ§™β€β™‚οΈ Dear copiers, today I've done some changes to our portfolio. πŸ’ͺ I've reduced our exposure to $TQQQ slightly. It is still the dominant asset in our portfolio, and has proven to be a very successful one. 🌍 In order to spread risk and keep the portfolio diversified, I'm shifting about 6% of the portfolio from the US to the European market. I've closed several positions in $DXCM (DexCom Inc), $JBL (Jabil Inc ), $XLI, and $TQQQ lately, and I'm reinvesting that money into the Europe. πŸ“ˆ Tomorrow, as the european market opens, we will invest in the Norwegian offshore company $SUBC.OL (Subsea 7), the Norwegian salmon fish producer $SALM.OL (SalMar ASA), the Danish jewel producer $PNDORA.CO (Pandora A/S) and Danish bank $DANSKE.CO (Danske Bank A/S) Earlier today we opened a position with Swedish industrial company $ATCO-A.ST (Atlas Copco AB ser. A) πŸ“ˆ We've also invested in other companies I believe have a strong foundation for further growth. Financial corp $MA (Mastercard), healthcare company $MCK (McKesson Corp), Dutch semiconductor company $ASML.NV (ASML Holding NV) and infrastructure company $PWR (Quanta Services Inc) πŸ“ˆ Lastly I've shifted some of our money from $AAPL (Apple) to $MSFT (Microsoft) as well. πŸ† Our portfolio is currently at an all-time high value, and with these adjustments I expect it to reach even higher highs in the coming months. 🟒 As for our target of 1% gain each week, we are spot on! For week 21 we are currently at 22%. I hope even more copiers join us! You should copy existing trades when copying me.