Dear Community,
I have been thinking about restructuring my sector ETF's for weeks. Now I have several ideas and wanted to ask you what makes the most sense. So either I dissolve all Etf's immediately and shift into an All World or I shift $CBUF (-0,63%) and $L0CK (-1,87%) into the remaining three. Idea number 3 is $CBUF (-0,63%) , $L0CK (-1,87%) and $IS3N (-0,3%) into the World and keep the $IUSK (+1%) to keep. Do you have any other ideas or what would you most likely recommend. Please for your opinion, thank you :) Lg