SamSpade90
🔴 WEEKLY REVIEW The first week of the year was characterized by a general decline due to a market correction after a strong upturn at the end of 2023. Overall my portfolio lost 1.87%, in line with global markets. The downward correction was expected, the prospects for 2024 still remain very good. All that remains is to see what happens this week. 📊 Recap Last year: +20.91% YTD: -1.87% $XLV +2.01% $XLE +1.00% $ULVR.L (Unilever) (Unilever) +0.60% $INDA +0.57% $XLF +0.40% $IBB +0.20% $DJP +0.07% $SVXY -0.02% $VFH -0.15% $XOP -0.23% $DIA.US -0.59% $EWJ -0.95% $VEU -1.53% $SPY -1.55% $VOO -1.56% $VXUS -1.64% $IEUR -1.76% $IYR -1.91% $XLI -2.25% $KRBN -2.52% $AAXJ -2.63% $MTUM -2.71% $VOOG -2.87% $FXI -3.33% $XLY -3.46% $ARKG -3.66% $BLOK -4.12% $VGT -4.49% $CIBR -4.57% $LIT -4.95% $SMH -5.03% $ARKX -5.39% $ARKQ -5.70% $BABA (Alibaba-ADR) (Alibaba-ADR) -5.81% $CLOU -5.91% $ARKF -7.07%