9Lun·

Hello everyone,


I have two very similar ETFs. On the one hand the $XDWT (+0,35 %) and on the other hand the $VUSA (+0,96 %)


Both have a lot of similarities in terms of the composition of the largest 10 positions.


And therein lies the problem, there is not much diversification. Well, the $XDWT (+0,35 %) is globally diversified and has a slightly higher TER, but the focus here is also on the USA as far as tech stocks are concerned - the advantage lies in the greater diversification and the better performance in recent years.


I am considering selling my shares from the $VUSA (+0,96 %) and to switch completely to the $XDWT (+0,35 %) completely.


But I'm not sure about the decision yet - have I overlooked something? Is it "possible" to hold both? If so, what are the pros and cons of keeping both?



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Would rather keep the S&P 500 and then add a FTSE All Word or ASCWI or even the ASWCI IMI
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