My portfolio shows a breakdown into different sectors and areas:
trade Republic: the shares and ETFs
scalable Capital : the gold
This is just the portfolio I want to hold for the next few years with a long-term savings plan. And if necessary, individual purchases where the opportunity arises, I think I am now quite well positioned or what do you think of the portfolio.
Stocks that I would like to hold for the long term
- Technology:
$MSFT (-0,88 %) Microsoft,- $AAPL (-1,69 %) Apple,
- $ASML (-1,43 %) ASML
- Consumer goods:
- $KO (-0,6 %) Coca-Cola,
- $MCD (-1,26 %) McDonald's.
- Finance and insurance:
- $ALV (-1,16 %) Allianz,
- $V (-1,41 %) Visa
- Real Estate:
- $O (-1,52 %) Realty Income.
- Armor:
- $LMT (-0,16 %) Lockheed Martin.
- Retail:
- $WMT (+1,57 %) Walmart.
- Various sectors:
- $8001 (-1,4 %) Itochu
- Health
$JNJ (+0,38 %) Johnson & Johnson
ETF as core overlaps are relatively unimportant to me in this area :)
- FTSE All World :
-Global Quality Income:
and then as a supplement
$BTC (-0,43 %) bitcoin
and gold $EWG2 (+0 %)