Last month there was not much change in the top 10 of my portfolio. The Value of the positions decreased as did most stocks in the market.
AbbVie lost 2 positions, because it declined a bit more than ASML and Facebook.
Bank of America enterred the number 10 position in my portfolio. It’s the first time I have a bank stock in the top 10 of my portfolio.
|1||(-)||Royal Dutch Shell||Energy||4.780|
|7||(-1)||Macquarie Infrastructure||Basic Materials||2.516|
|10||(new)||Bank of America||Consumer Cyclical||2.276|