I will probably take the IE00BQQ3Q067. Since I'm underweight in tech and health I'm still planning on IE0003UVYC20 and IE000U9J8HX9. Both from JPM. Nasdaq and global. In my portfolio I have the van Eck Dividend and the high dividend from vanguard. I also have Reality and Main. Is the weighting ok or are there any suggestions? Savings rate 500€ . 6 k already in the last mentioned positions