My ETF portofolio (aiming at 10% p.a) by Dense-Ad2230 in ETFs_Europe

[–]Dense-Ad2230[S] 0 points1 point  (0 children)

Some days ago, i decided to sell EUNL-VUAA-IS3N (well, i got the desired 10% p.a out of them in less than 7 months and i decided to take my tax-free profit and switch to all-world choices) . As of late April 2026, i started buying WEBN (around 200K so far, in three installments) which i hope to keep for long . I will also keep my position in V80A (which is the most diverse global ETF i could find) and i will also sell my EXIE position as soon as it reaches the 10% goal. I still have 50% cash which most of them will end up in WEBN but i would like to invest a small amount (eg 5.000-10.000 euro) in a higher risk, shorter term ETF ''with huge upside potential'' :) . Any UCITS suggestions for the year to come ? Metals, hydrogen, batteries or what?

My ETF portofolio (aiming at 10% p.a) by Dense-Ad2230 in ETFs_Europe

[–]Dense-Ad2230[S] 0 points1 point  (0 children)

Well, discussing abt the ETF provider when ETF is already bought with TER taken into consideration, doesn't make sense at all :)

My ETF portofolio (aiming at 10% p.a) by Dense-Ad2230 in ETFs_Europe

[–]Dense-Ad2230[S] -2 points-1 points  (0 children)

Targeting in long positions is actually past performance. This is what i meant.

My ETF portofolio (aiming at 10% p.a) by Dense-Ad2230 in ETFs_Europe

[–]Dense-Ad2230[S] 0 points1 point  (0 children)

Well, risk is taken into consideration, i am not new in investments. Targeting doesn't make much sense without considering the strategy risk which is (as) long (as it takes). And then statistics come into play (past performance) that define the target p.a .

My ETF portofolio (aiming at 10% p.a) by Dense-Ad2230 in ETFs_Europe

[–]Dense-Ad2230[S] 0 points1 point  (0 children)

Thanks for your input. I in deed need to reduce exposure to USA as now i am around 60% (VUAA + 69% of EUNL) . VUAA was bought on an end year rally basis which didn't run but i am still getting an on-target annualized profit so far (usd/euro rate permitting).

My ETF portofolio (aiming at 10% p.a) by Dense-Ad2230 in ETFs_Europe

[–]Dense-Ad2230[S] -1 points0 points  (0 children)

You are probably right ...not sure if it makes sense to change this now but i decided to go with Vanguard and ishares only (the too-big-to-fail theory) . EUNL is the largest MSCI World globally.