@JED92 After some analysis I've also decided to go with a more US- and Tech-oriented portfolio, while still trying to keep some level of diversification. My goal is to re-balance and reach the following distribution: 15% $ISAC, 15% $SMEA, 20% $IUIT , 50% $CSPX .
@JED92 I've been thinking about keeping some amount invested in Bonds. Right now my goal isn't to get income from the investments but the diversification aspect of the investment is interesting to me. Currently analysing if I remove Bonds altogether for now, or keeping around 5% in $SDHY or $XUHY. But as I don't know much about Bonds, I'm still not 100% sure on what to do.