Hello dear community,
I am considering restructuring my portfolio and investing in various ETFs.
- 50 % $VWCE (-0,75%)
10 % $SEMI (-1,16%)
10 % $INRA (-1,88%)
10 % $CEBT (-1,52%)
10 % $ESIF (-0,35%)
10 % $IGLN (+0,79%)
To start with, I would like to invest €5,000 accordingly and increase it monthly according to the same distribution.
My thoughts on this:
- unagitated basis in the world ETF
- More risk and potentially more profit in sector ETFs. Sectors that I personally think will become relevant in the coming years and decades.
- Somewhat more speculative sectors such as semiconductors, green energy or precious metals. But supported by more solid sectors such as finance and gold.
What are your opinions on this? I would be delighted to receive feedback! :)

