Hi, I am going to share, after the last changes, the current portfolio, with a one year investment term forecast.
Thanks to your advice, I reduced the TER of the main investments (grouping funds in the same MSCI World) and modified the ETFs with approximate term of 3 months in them.
Current portfolio:
Fund (75%)
Equities (15%)
...
(Partial purchase, subject to short term evolution)
ETF (Investment plan, subject to change depending on performance) 10%.
Cryptos: (experimental, less than 5%)
I welcome your suggestions for improvement.
Best regards.