ETF fractions
yes great, I have now after my shift from $ELCR (+0%) to $ASML (-2.26%) I still have 0.397 shares $ELCR (+0%) left on comdirect. What do I do with the cheese now?
ETF fractions
yes great, I have now after my shift from $ELCR (+0%) to $ASML (-2.26%) I still have 0.397 shares $ELCR (+0%) left on comdirect. What do I do with the cheese now?
After your last feedback I have revised my strategy for my long term portfolio (1000€/month via savings plans) and would like to ask for your feedback again.
Enclosed my key data:
- Core Satellite strategy with 65% MSCI World / EM (70/30 split) and 7 sector based ETFs with 5% each.
- List of ETFs and comparison to benchmark (MSCI World) in screenshot below.
- In total, the ETFs have 3122 positions and of these 92 are duplicated
- Regional breakdown 19% Europe, 52% America, 29% Asia
- Costs approx. 0.35% p.a.
- All accumulating, as 15+ years targeted
Do you see any blunders in the strategy or do you have any other suggestions for the satellites?
Thank you! $BURT39F
$EEM (+0.31%)
$IQQH (-0.05%)
$USPY (-0.04%)
$BATE (-0.05%)
$ROAI
$BNXG (+0.68%)
$RIZF (-0.05%)
$ELCR (+0%)
Objective is to track both the upward and the downward evolution of the MSCI ACWI IMI Future Mobility ESG Filtered Index. The Index is representative of the performance of companies provides exposure to large, mid and small cap stocks across developed and emerging countries and which are associated with the development of new products and services focused on energy storage technologies, autonomous vehicles, shared mobility and new transportation methods.