3Mon·
Portfolio Feedback

Hello,


I'm planning to have my portfolio divided this way

30% Base ETFs

30% Divided ETFs/REIT

30% Growth ETF

10% Bitcoin/Commodities/Individual Shares


I'm choosing my base ETF's:

15% $VUSA (-0.28%) because of risk and stability

5% $QQQM Considering the future, and I want to add a bit more technology without a big risk.

10% $IWRD (-0.07%) to Reduce a bit the US dependecy

Would love to hear your comments

12Positions
5.42%
3
5 Comments

profile image
I would not consider the Nasdaq 100 since you already want both the S&P 500 and the MSCI world index and both the S&P 500 and the MSCI world already contain enough tech shares, I would rather diversify more and add more Europe and maybe some Bitcoin if you want to diversify even more and and add a little bit of risk but try to keep it simple since ETF’s are already enough diversified
1
View all 4 further answers
Join the conversation