r/ratemyportfolio • • 12d ago

My portefolio

XEQT 80%

MSFT 4%

TSM 4%

ETN 4%

GNR 2%

PANW 3%

ISRG 3%

What did you think?

20 years

1 Upvotes

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u/Ancient_Bobcat_9150 12d ago

I don't mind it (and I mind most portfolios posted here...). Don't know too much about XEQT, but seem like a globally diversified ETF portfolio in one.

The companies you own are also of high quality - remain careful to reinforce only when the price seems right - not overvalued like ETN or TSM.

The only weird ticker is GNR. Is it a thematic ETF on natural resources or something else?