3Mes·

The enemy of the best is often the good.


I have these ETFs in my portfolio:


$TDIV (-0,49%)

$GGRP (-0,01%)

$FUSD (-0,35%)

$FGEQ (-0,19%)


Some, if not all, have outperformed the MSCI World at times.

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At the moment they are all about the same weighting and should be increased further. While I am trying to implement a growth strategy with equities, these ETFs are intended to generate passive income.

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Objectively speaking, I would have to sell the $FUSD (-0,35%) as it further increases the US share and overlaps heavily with at least two of the other ETFs. In other words, it reduces diversification in all respects.

But on the other hand $FUSD (-0,35%) also the one with the best past return and will probably remain so in the future.

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One approach could be to take the US weighting and overlaps into account in the ETF weighting of the portfolio and implement it as follows, for example:


$TDIV (-0,49%) 40%

$GGRP (-0,01%) 30%

$FGEQ (-0,19%) 15%

$FUSD (-0,35%) 15%


If the ETFs were weighted in this way, the following allocations would result:


Countries/Regions:

USA 56.4%

Canada 4.4%

Europe 33.2%

Asia 5.4%


Top 10 weighting:

$MSFT (+1,03%) 3%

$AAPL (-0,55%) 3%

$VZ (-0,03%) 2,3%

$CVX (-0,16%) 2,1%

$ROG (+1,89%) 2%

$NVDA (+4,38%) 1,9%

$PFE (+0,22%) 1,7%

$HSBA (-0,47%) 1,6%

$IBM (+0,4%) 1,4%

$AVGO (+2,08%) 1,4%


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What do you think of this allocation example? Do you have any suggestions for improvement or comments?

9
9 Commenti

immagine del profilo
$GGRP or $FGEQ. Liquidate the remainder and invest in the selected ETF.
8
immagine del profilo
@Psychedelic_Sunflower why not both? i'm just about to buy the missing one of the two :D
immagine del profilo
Your whole depot and your post scream out loud: "Hindsight Bias!"

Time for real diversification.
3
immagine del profilo
@Epi what would you diversify and how?
immagine del profilo
@Iwanowitsch I don't know your investor profile. But 50% $GGRP or $IUSA and 25% each $EWG2 $BTC offer the objectively best mix of security and return. Historically and systematically.

But most people here don't care about objectivity. It's the feeling! It's the feeling that counts! 😂
2
immagine del profilo
Is Japan included in Asia? Then I would find the share too low.
1
immagine del profilo
@Olli68 Yes, Japan accounts for 2.7% in this case. Why would you weight Japan higher?
immagine del profilo
@Iwanowitsch Because Japan is one of the largest economies in the world, has a democratic political system and is still the safest place in Asia to invest.
2
immagine del profilo
I would play around with backtests as much as possible. Curvo, for example, has optimization tools. The only problem is that some etfs do not allow such wide backtests.
1
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