Another month has passed on my dividend income journey and I want to give you a short update on my portfolio in November. The developement was due to exchange rate effects very postive, now it already reached a size of 19,513.87 EUR, five months ago it was at arround 10,600 EUR. My only purchase in November was that I added 23 shares of Consolidated Edison to my portfolio.
The detailed postions of my portfolio can be found here.
As you can see I still need some more diversification, especially from the energy sector. The tobacco sector is concerning his risks a bit overweighted. Also I am heavily invested in stocks from the USA, when it comes to reduce the currency risk I will concentrate more on stocks from Europe in the next year.
How was your developement of the portfolio or any other thoughts about my portfolio?
Disclosure: I do not recommend any decision to the reader or any user, please consult your own research. Thank you for your understanding.