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My RSP portfolio

I mentioned before that at the end of last year, I took out some money and set up a regular investment portfolio. In fact, I set up three portfolios:
1. Sectors that are resistant to recession in the S&P, including medical, public, necessities, as well as sectors I am bullish on for future growth such as biotechnology ibb, clean energy icln, semiconductors soxx, and small-cap stocks (Russell 2000) that grow rapidly during recovery, along with the stock market god such as $Berkshire Hathaway-B (BRK.B.US)$ and so on, making an evenly distributed portfolio. The purpose is to compare with the S&P. The reason I didn't choose qqq is because qqq is basically those few heavyweights, which is not meaningful. Although I find semiconductors expensive, a little regular investment is still okay.
3. A selection of 25 dividend stocks, covering many sectors, but excluding sunset industries like telecommunications (I mean at&t) or alcohol and tobacco. For example, in the field of technology and semiconductors, there are $Microsoft (MSFT.US)$   $IBM Corp (IBM.US)$   $Broadcom (AVGO.US)$   $ASML Holding (ASML.US)$ On the consumer side, there is $Costco (COST.US)$   $McDonald's (MCD.US)$   $PepsiCo (PEP.US)$ and also the csi commodity equity index, $Southern Copper (SCCO.US)$ and medical, $UnitedHealth (UNH.US)$   $Pfizer (PFE.US)$ as well as energy, infrastructure, banks, insurance, and so on. I won't list them one by one; they are all good companies. That's roughly the idea.
Three portfolios invest the same amount every Monday, the amount is not large, mainly for learning and research. Let's see the results and who can outperform the S&P 500.
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本人散户,闲钱投资,名字为系统生成。这里记录投资感悟与趣事。所有言论都纯属娱乐,不是投资建议。此账号为本人唯一社媒平台。
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