The $TDIV (-0.18%) is quite highly praised here in the forum and seems to offer a really great return with a decent dividend at the same time. However, as it only contains a relatively small number of companies with a high weighting in the financial sector, I would like to know from you what % weighting you would give it in your portfolio alongside a $VWRL (+0.22%) weighting in your portfolio? Rather less or could it also be used as a basis? My investment horizon is 30+ years.
1Wk·
Developed Markets Dividend Leaders
77
5 Comments
TotallyLost@TotallyLost
1Wk
•
55
•
Larry L.@Testolobster

1Wk
•
11
•Abteilungsleiter D.@AbteilungsleiterDerLiebe

1Wk
•
11
•
DerDanner@Therapeut
1Wk
••
Sebastian@Baisse-Jumper

1Wk
••