$IWVL (-0,92%)
$VUAG (+0%)
$IWDA (-0,14%)
$EIMI (+1,24%)
$WSML (-0,65%)
$MVEU (-0,64%)
$IWDP (-0,54%)
$ZPRP (-0,34%)
$COMM (+0,54%)
$IGLN (-0,09%)
Does anyone care to give an opinion on my ETF allocation?
Feel free to dismiss my choices. I am looking for a better distribution long term - 20years + with reduced risk (20% drawdawn/year is acceptable to me, more is painfull).
