HI!
I want to share with you my portfolio and my new monthly PAC balance of €750 with a long-term goal:
60% (450€) $IWDA (-0,06 %)iShares Core MSCI World
20% (150€) $XAIX (-1,22 %)Xtrackers AI and Big Data
10% (75€) $WSML (-0,97 %)iShares MSCI World Small Cap
10% (75€) $EMXCiShares MSCI Emerging Markets Ex China (before $CEA1 (-0,15 %) )
I plan to reduce NVIDIA share in the near future.
What do you think? Does it seem well balanced to you?
Would you change anything?
Thank you!