Hello community 🙋🏻♂️,
I have thought about an ETF strategy where I invest 70% in the $VWCE (+1,33 %) and 30% in sectors ETFs. The 30% is divided as follows 10% $XDWH (-0,2 %) , 5% $XDWT (+2,23 %) , 5% $CHIP (+4,42 %) , 5% $JEDI (+0,26 %) and 5% $IGLN (+0,7 %) . Which sectors do you think are still interesting 🤔 and do you think this strategy makes sense for long-term wealth accumulation with an average return of 10-12% per year?
Thank you for your feedback 😊