Hello friends of the sun,
I have been investing since the beginning of my career (almost 8 months) in the $ACWI and have compared the Etf with a benchmark. $IWDA (-0,43 %) as a comparison. I noticed that an All world cannot really keep up.
Now my question: do you have EMs in your portfolio, if so why? and would you recommend switching, if so why?
Perhaps my approach is simply wrong at the moment, so I would be grateful if you could explain the whole thing in a way that a donkey might also understand😄
Thank you!