Portfolio 2026:
In 2025 I started investing. I sold trading until now:
- for gains: LDO, BABA (trimmed), Eurobank, Googl, FFH (trimmed), IBKR, RHM (trimmed and then loaded back up in the dip)
- for a loss: WLN (over 50% loss, ugh, still glad I sold)
Total money weighted return YTD in USD is up 22%. Leverage came down from 2.0 in september to 1.77 now. I learned so much in this year, also thanks to this board.
Intention for 2026:
Reduce leverage to 1.2 - 1.5 and simplify Portfolio for peace of mind
by selling opportunistically:
- RHM - bought only for trading
- JD - low margins and reduce china exposure a bit (PDD seems a better business)
- GRG and BRO - small positions in businesses I don't really know
- ACGL - cat risk profile is too similar to FFH (only trimming)
- general trimming as stocks appreciate
Last time I shared: