user-cjxshz
1 portfolio • Best risk-adjusted portfolio: ETF (1.02 Sharpe, +14.6%/year)
A diversified ETF portfolio in euros with a simple buy-and-hold strategy for long-term, low-maintenance investing.
by user-cjxshz+14.6%
FLXD20%
EMXC20%
UEQD20%
WTEE20%
XDJP20%
Exp. Ratio
0.17%
Volatility
12.4%
Sharpe
1.02
DD
16.5%