Dear experts. Please review my portfolio. I was investing “too diversified” (think over 50 shares). I sold it entirely and started from clean slate from Nov 2023.
Following is my current portfolio:
Name, Avg buy price, portfolio allocation %
Pennar Industries, 110, 21%
Capacite Infra, 269, 18%
Transformers India, 189, 8%
HBL Power, 321, 8%
Elecon engg, 907, 7%
ACE, 847, 6%
Ador Welding, 1500, 5%
KSolves, 1079, 4.5%
Shivalik Bimetal, 530, 4%
Usha Martin, 321, 4%
REST allocation to stocks for swing trading.
Please review and let me know how do you see this portfolio for long term horizon (2+ years)
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