My portfolio
twitter.com/toper01
Čas je, to čo kúpiš. Strata to, čo prežiješ.
Chce tu klud a pohodu.
1. My stock market global portfolio - Time invest 30 years
Fraud _ Bad Mean: WDI, NMHLY, WHXT, VPOR, CS
Most 20 value portfolio - 2013 KO, Kofola, DFS, SYF, HSBC, ING, CEZ, EON, Enel, Sberbank, GSK, KHC, SUEZ
2016 Avast, WU, MGM, Danoy, PFS, PCRFY, CS, KDP
2022 EDF, UL, Lucid, QSR, WU, FME
2023
Most ETF - RSX , TUR, EWM, RJI, VTI
8.2013 ( 13 stock ) +2 % 8.2014 +4 % 8.2015 +0,7 % 8.2016 ( 28 stock ) - 8 % 8.2017 +12,5 %
8.2018 +11 % ( 9.2018 Reduced V - 39 stock ) 8.2019 -1 % ( Reduced GSK ) 3.2020 ( Reducet stock )
8.2020 + 3 % 8.2021 +31% 8. 2022 -3 % ( 40 stock ) 8.2023 - 2.5 %
2. Portfolio
8.2018 ? % 8.2019 +4 % 8.2020 +10 % 8.2021 +45 % 8.2022 +36%

