Hello everyone!!! New entry into my first bond ETF! I have slightly revised my strategy by going with a small corporate bond portion to the equity majority, so as to diversify the assets between them! In the future I would like to add the relevant European counterpart as well. $EUHI (-0,14 %) , making both added up to be about 10 percent of the total portfolio.
Positive sides of this ETF $STHY (-0,37 %) are definitely the juicy monthly distribution and the decorrelation! Of course I do not expect major growth from this ETF, it is still a bond!
Let me know what you think!