Hey guys!
What do you think speaks for or against a world portfolio of 3 vs 2 ETFs?
- $CSPX (-0,01 %) + $SMEA (-1,44 %) + $EIMI (-1,85 %)
vs.
- $IWDA (-0,43 %) + $EIMI (-1,85 %)
I wonder if it doesn't make sense in the long run to have more influence on the weighting by having three separate products? E.g. increase the European share?
Curious to hear your feedback! 📢