I would very much like to include shares of an energy company in my portfolio, and lately I have been deciding between $OXY+2.5% and $CVX+0.2%, but I am very undecided.
I don't think anything will go wrong either way, although from the US I would choose between $XOM+0.9% and $OXY+2.5%. I have $OXY+2.5% in my portfolio, and you could say it's basically just because I want to be in the same boat as WB.
I have to agree with CVX.
I don't think anything will go wrong either way, although from the US I would choose between $XOM+0.9% and $OXY+2.5%. I have $OXY+2.5% in my portfolio, and you could say it's basically just because I want to be in the same boat as WB.