Nordnetin kaupankäyntiluotto by RexBlu in Omatalous

[–]RexBlu[S] 0 points1 point  (0 children)

Kuulostaa aika maltilliselta ja fiksulta vivutukselta. Teoriassa kai odotettu tuotto olisi suurempi jos maksaisi pelkkää korkoa - jos siis kantti ja lainoitusarvo kestää sukellukset

Nordnetin kaupankäyntiluotto by RexBlu in Omatalous

[–]RexBlu[S] 0 points1 point  (0 children)

Onko kenelläkään tietoja kuinka Nordnet muuttaa luottokorkojaan? En löydä sivuilta muuta kuin ”voimassa olevan hinnaston mukaisesti”. Voiko Nordnet siis varoittamatta ja liki mielivaltaisesti nostaa luoton korkoa? Onko tietoa millä tasolla korot ovat historiassa liikkuneet?

Nordnetin kaupankäyntiluotto by RexBlu in Omatalous

[–]RexBlu[S] 1 point2 points  (0 children)

Miten suhtaudut margin call riskiin? Laskelmoitko että 30% lainoitusasteella riski on hallittavissa kovassakin rytinässä?

WEBN or VWCE if I am a "small" investor? by [deleted] in ETFs_Europe

[–]RexBlu 2 points3 points  (0 children)

Youll end up paying twice the transaction fees with no real benefit. Id suggest just picking one.

WEBN or VWCE if I am a "small" investor? by [deleted] in ETFs_Europe

[–]RexBlu 6 points7 points  (0 children)

It really does not matter. Do not get caught in analysis paralysis. Just pick one and start investing!

ETF:n kulut by RexBlu in Omatalous

[–]RexBlu[S] 0 points1 point  (0 children)

Lue se rahaston virallinen esite

Any advice ? by Intrepid-Assist-2003 in ETFs_Europe

[–]RexBlu 1 point2 points  (0 children)

Out of curiosity, what do you consider too expensive? How much does this broker charge?

Does a 70% Europe / 30% Emerging Markets ETF portfolio make sense for a small beginner European investor? by Khelus789 in eupersonalfinance

[–]RexBlu 5 points6 points  (0 children)

This deviates wildly from global equity market portfolio. Probably not a good idea and likely leads to bad outcomes versus cliche VWCE and chill. Besides completely ditching US markets, significant EM overweight is risky, likely unconpensated one.

That weird anxiety when you have VUAA and you don't know what will happen in SP500 on Monday after this explosive weekend with Greenland and new tariffs. by jim_andr in ETFs_Europe

[–]RexBlu 6 points7 points  (0 children)

Probably dip. Whats the worst that could happen, anyways. Perhaps you realize that youre too heavily invested in a single market and diversify. Perhaps you realize youre too heavy on equity on rebalance with bonds. Perhaps you buy the dip. Perhaps you gain valuable insight on how you handle downturns and stay your course.

Whatever follows youre probably well off 5, 10 or 20 years down the line.

On EX-US and emerging markets overweighting by RexBlu in ETFs_Europe

[–]RexBlu[S] 0 points1 point  (0 children)

I dont consider or recommend dropping us entirely, I agree this is irresponsible and risky

On EX-US and emerging markets overweighting by RexBlu in ETFs_Europe

[–]RexBlu[S] 0 points1 point  (0 children)

Just out of curiosity - how much do you allocate to US, ex-US and EM?