19H·

Question about Etfs

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2 Commenti

immagine del profilo
Hey, a lot of them, you are diversifying a lot and many of them overlap, such as Msci World and All World. In my opinion, 2 focuses on the All World or Msci World are enough, you could also take the S&P 500 as a basis (the return speaks for itself). I would leave the Information Tech (future-oriented to refresh the return a little) Blockchain I also find superfluous if then directly real Bitcoins. (only Bitcoin, everything else is a gimmick and speculation). Everything is just my personal opinion and experience, of course there are different strategies and preferences.
Best regards :)
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immagine del profilo
I see it similarly to MrSchnitzel. You could shorten it to 1-4. With the All World you have diversified. You don't need an additional World +Asia.
I would kill the high dividend yield. Blockchain too.

What else can you keep with the $VWRL? I see the following possibilities:

- If you want to reduce the US share, you could also include Asia.
- If you believe in infotech, you could leave it in at 10%-20%, although I think there is already too much infotech in the ACWI to increase the weighting now.
- $IS3R Momentum is one of my favorites. Even though I personally have $XDEM

Each of the three additions has an impact on your overall portfolio. For example, a world momentum would intentionally or unintentionally increase your exposure to industrialized countries.
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