I have below stocks in my portfolio and like most of them my portfolio is down by 30%. I have made some profits last year (<30% paper loss) so planning to sell few of them before EOFY. Any feedback would be appreciated as struggling to decide which one would be better to keep long as i cant sell all. I know it's hard to comment without holding ratio and capital on each one .
Planning to see one's with sell. Planning to keep hydrogen related Stocks along with AXE and DUB which are bigger chunk of my portfolio.
3DP
AD8
AXE
CPH- SELL
DUB
EMD
EML-Sell
EXR
GQG
HXG-SELL
HZR
IDT-SELL
IMU
IVX-SELL
KLS
LIO
MNS-SELL
MYR-Sell
PH2-Sell
PRL
TVL-SELL
TYR-Sell
WBT
YOJ-SELL
Z2U-Sell
Planning to see one's with sell. Planning to keep hydrogen related Stocks along with AXE and DUB which are bigger chunk of my portfolio.
3DP
AD8
AXE
CPH- SELL
DUB
EMD
EML-Sell
EXR
GQG
HXG-SELL
HZR
IDT-SELL
IMU
IVX-SELL
KLS
LIO
MNS-SELL
MYR-Sell
PH2-Sell
PRL
TVL-SELL
TYR-Sell
WBT
YOJ-SELL
Z2U-Sell