Our strategy is to buy and keep solid stocks with a high (>4%) dividend, with the goal to have a regular income, while keeping the risk low.
To keep a low risk profile we will always divide our investment over different sectors, different continents and different currencies. Currently we invest in shares with a notation in US$, EUR, HKD, SEK, NOK and CHF.
We use swing-trading to profit from the ups and downs in the market.