user-fa73ru
1 portfolio • Best risk-adjusted portfolio: 1° (0.56 Sharpe, +11.6%/year)
A globally diversified ETF portfolio with annual rebalancing for long-term growth in USD. Simple, strategic investing.
by user-fa73ru+11.6%
VWRA100%
Exp. Ratio
0.19%
Volatility
17.3%
Sharpe
0.56
DD
33.6%