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#micartera myportfolio: Strategic diversification and long-term vision.**
I build portfolios with **60% global ETFs** (VWCE, SPY), **25% value stocks** (infrastructure and technology sectors) and **15% defensive assets** (bonds, gold). I prioritize **quality over quantity**: I only invest in companies with competitive advantages and solid balances.
I rebalance quarterly and **never react to market panic**. I use *dollar-cost averaging* to reduce volatility. My horizon is +10 years: I ignore media noise and focus on sustained growth. **Key: patience, data, and proactive risk management.**