user-9qu4v8

4 portfolios • Best risk-adjusted portfolio: CTo fortuneo (1.19 Sharpe, +11.2%/year)

Diversified ETF portfolio with 85% global equities, 15% Eurozone bonds, and targeted allocations to energy and gold for balanced growth.

by user-9qu4v8
+11.6%
EUNL40%
XDW025%
CD9120%
DBXP15%
Exp. Ratio
0.29%
Volatility
14.4%
Sharpe
0.67
DD
32.2%

Global ETF portfolio targeting energy, tech, defense, and gold sectors for a diversified, thematic equity investment strategy.

by user-9qu4v8
+66.8%
XDW030%
5J5025%
SEC025%
CD9120%
Exp. Ratio
0.38%
Volatility
19.8%
Sharpe
3.28
DD
12.4%

Diversified ETF portfolio blending global stocks, European bonds, and gold for balanced exposure across equities, fixed income, and precious metals.

by user-9qu4v8
+18.1%
EUNL30%
LYQ230%
GLDA25%
5J508%
L0CK7%
Exp. Ratio
0.19%
Volatility
9.5%
Sharpe
1.70
DD
7.2%

A diversified ETF portfolio blending US corporate bonds, S&P 500 equities, and physical gold for balanced growth and stability.

by user-9qu4v8
+11.2%
UEF850%
MWOQ30%
GLDA20%
Exp. Ratio
0.18%
Volatility
7.7%
Sharpe
1.19
DD
7.7%