The core of my ETF portfolio is currently represented by the following ETFs:
60% equities, of which
50% $XDWD (-2,23%)
30% $EMSRI (-1,35%)
20% $WSML (-2,56%)
40% Bonds, of which
50% $SRIC (+0,04%)
50% $XGLE (-0,09%)
I basically feel very comfortable with the constellation, as I am very broadly positioned and can still reduce volatility.
What do you think of this allocation? What suggestions do you have?
