Hello, beginner query incoming,
If I need to promote the shares of an ETF I’m holding long run sooner or later (a number of years from now), does the variety of open positions I’m holding, and their quantity make a distinction?
Example: I can both a) DCA buy two shares of VWCE each month, or b) make one buy of 24 shares firstly of yearly.
Plan A would have 12 open positions a 12 months with small quantity
Plan B would have 1 open place with bigger quantity (ensuring that I’m getting these phrases proper)
Is closing positions simpler with both of those methods, or precisely the identical?