ANNUAL REPORT
- francescoturturici
- 2 gen 2021
- Tempo di lettura: 3 min

Dear Copiers and Followers,
Happy New Year everyone! We hope for a better new year than the one we leave behind.
First of all I wanted to welcome a new member of the group, he has a private profile so I can't mention him.
There are 7 of us! And we have reached 225 Followers! Thanks Thanks Thanks!
December was a difficult month and thanks to the last 3 days we were able to recover and close with a slight loss (as my wife says: “you didn't finish in red, you closed in orange! Santa Donna!).
What went wrong? Maybe my strategy isn't showing up? Let's analyze some data.
I love doing it especially when there are disappointing results like this month.
Let's start with my biggest nightmare, Cryptocurrencies! I repeat and repeat: you invest only in what you know and what you can understand. Unfortunately, I will never understand the behavior of crypto. So goodbye, if there are good opportunities I will only invest in $ BTC. The only real crypto, but now the price is exaggerated for me.
What they gave me in November they took away from me in December (positions closed positively but negatively compared to the beginning of the month):
-XRP Fortunately closed at 0.45, it led to a loss of -1.10% on total assets
- IOTA -1.40% of total assets
So only in cryptocurrencies I recorded a loss of 2.50% in December.
Now let's move on to my most important long-term investments in my portfolio (spoiler: all red!) (Positions open before December):
-ACB: -28.85%
-PLTR: -13.13%
-BHND: -10.65%
-NIU: -5.94%
-NIO: -3.54%
Followed by:
-BOX: -3.42%
-PFIZER: -3.92%
The green long-term positions are:
-CSIQ: +19.83%
-BYD: +11.59%
-MSFT: +3.90%
-INTEL: +3.40%
-iROBOT: +2.37%
All 5 have the same weight in my portfolio and are not the main ones.
So by analyzing these data, given the weight of the different positions, if I had not adopted my strategy I would not have achieved this result, a very limited loss compared to the performance of my long-term portfolio.
I would have registered a loss between 6-8% and 2.50% of the crypto, almost 10%.
Obviously it has been a month that has put a strain on my portfolio, but all in all I can be satisfied with the end of the month. Worried about the new year? Absolutely not.
I repeat: they are all safe companies (ACB is the most "risky" one, but with good administration I expect great things), it was an unfortunate case that they all went wrong (patience, we'll make up for it in the new year!).
In the long term, SPCE is added, down to 24, so I opened one more position, if it falls below 20 I will probably invest much more, I expect an important year for this company and if everything goes as it should go I expect a price around $ 40 at the end of 2021 (this company's post is almost ready!).
A2A will play an important role with the advent of 5G with the theme of smart cities. The Italian reality is extremely bureaucratic, but even here I expect a strong increase with the new year.
I remind all my copiers: I deposited new funds and use them from Monday if there are opportunities, your options are:
- Add the funds without "copy open positions", etoro should send a notification with the amount necessary to copy the new position. In this case your position would fully respect my portfolio
- Do nothing, do not add funds, in this case, however, my new positions may not be copied, so you would have a discrepancy between my performance and yours.
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