Author amarty78
Number of securities 8
Total assets n.a.
Yield (MWRR) 26.34%

Securities in this portfolio

Asset class

Equity 67.24%
Bonds 25.93%
Crypto 6.83%
Cash 0.00%
Deposit 0.00%
Commodities 0.00%
Real Estate 0.00%
Money Market 0.00%

Broker fees

Average TER
0.21%
Transaction commissions in 2021
0.02%
Transaction commissions in 2022
0.01%
Transaction commissions in 2023
0.01%

Currencies

USD 41.85%
EUR 37.23%
JPY 3.94%
CNY 2.93%
GBP 2.28%
INR 2.07%
TWD 1.89%
CAD 1.46%
CHF 1.10%
AUD 0.98%
SEK 0.47%
BRL 0.47%
DKK 0.44%
SAR 0.40%
ZAR 0.31%
MXN 0.27%
HKD 0.22%
SGD 0.18%
IDR 0.18%
THB 0.18%
MYR 0.16%
ILS 0.14%
AED 0.13%
NOK 0.12%
PLN 0.11%
TRY 0.11%
KWD 0.09%
QAR 0.08%
PHP 0.07%
CLP 0.06%
NZD 0.03%
PEN 0.03%
HUF 0.02%
COP 0.01%
EGP 0.01%

Risks summary

Currency

73.97%

Specific

3.09%

Sistemic

42.22%

Liquidity

0.00%

Yields (MWRR TWRR Over time)

Yields detail (MWRR)

Cumulative yield

26.34%

30 days yield

3.10%

90 days yield

4.95%

YTD yield

9.77%

Annualized yields (MWRR)

Top countries

Flag
United States
42.22%
Flag
France
5.56%
Flag
Japan
5.09%
Flag
China
4.03%
Flag
Italy
3.17%
Flag
United Kingdom
2.77%
Flag
Germany
2.76%
Flag
India
2.08%
Flag
Taiwan
1.89%
Flag
Canada
1.86%
Flag
Spain
1.60%
Flag
Korea (South)
1.45%
Flag
Switzerland
1.21%
Flag
Australia
1.16%
Flag
Netherlands
0.73%
Flag
Sweden
0.54%
Flag
Brazil
0.48%
Flag
Denmark
0.48%
Flag
Saudi Arabia
0.43%
Flag
Ireland
0.42%
Flag
Mexico
0.33%
Flag
South Africa
0.31%
Flag
Supranational
0.26%
Flag
Indonesia
0.25%
Flag
Hong Kong
0.24%
Flag
Belgium
0.23%
Flag
Malaysia
0.21%
Flag
Singapore
0.21%
Flag
Thailand
0.21%
Flag
Israel
0.16%
Flag
Finland
0.16%
Flag
Norway
0.15%
Flag
Poland
0.15%
Flag
United Arab Emirates
0.15%
Flag
Austria
0.11%
Flag
Turkey
0.11%
Flag
Qatar
0.09%
Flag
Kuwait
0.09%
Flag
Chile
0.08%
Flag
Greece
0.08%
Flag
Philippines
0.08%
Flag
Portugal
0.06%
Flag
New Zealand
0.05%
Flag
Peru
0.04%
Flag
Hungary
0.04%
Flag
Czech Republic
0.03%
Flag
Romania
0.02%
Flag
Colombia
0.02%
Flag
Egypt
0.01%
Flag
Panama
0.01%
Flag
Luxembourg
0.01%
Flag
European Union
0.01%
Flag
Slovak Republic
0.01%

Top sectors

Technology
14.80%
Financials
10.67%
Industrials
7.67%
Consumer Discretionary
7.65%
Health Care
7.08%
Telecommunication
4.82%
Consumer Staples
4.22%
Basic Materials
3.32%
Energy
3.01%
Real Estate
1.61%
Utilities
1.41%
Cash and/or Derivatives
0.24%

Top holdings

Vanguard Ftse Developed World Ucits Etf (Usd) Accumulating
3.09%
Vanguard Ftse All-World Ucits Etf (Usd) Accumulating
3.09%
Vanguard Global Aggregate Bond Ucits Etf Eur Hedged Accumulating
3.09%
Italy (Republic Of)
2.42%
France (Republic Of) Regs
2.07%
Vanguard Ftse North America Ucits Etf
1.98%
Microsoft Corp
1.89%
France (Republic Of)
1.87%
Apple Inc
1.59%
Treasury Note
1.48%
Nvidia Corp
1.45%
Germany (Federal Republic Of) Regs
1.39%
Spain (Kingdom Of)
1.22%
Vanguard Usd Treasury Bond Ucits Etf Eur Hedged Accumulating
1.18%
Amazon Com Inc
1.04%
Vanguard Usd Corporate Bond Ucits Etf Eur Hedged Accumulating
0.88%
Vanguard Eur Eurozone Government Bond Ucits Etf (Eur) Accumulating
0.85%
Taiwan Semiconductor Manufacturing
0.73%
Meta Platforms Inc.
0.71%
Vanguard Ftse Emerging Markets Ucits Etf (Usd) Accumulating
0.63%
China Peoples Republic Of (Governm
0.56%
Alphabet Inc Class A
0.56%
Vanguard Ftse Developed Europe Ucits Etf (Eur) Accumulating
0.51%
Alphabet Inc Class C
0.49%
Eli Lilly
0.39%

Max drawdown: 15.60%

Volatility

Activities

  • Portfolio has been updated
    April 7, 2023

    Bought shares of iShares MSCI World Small Cap UCITS ETF

    • Shares n.a.
      Cost per share 5.67 EUR
      Amount n.a.
  • Portfolio has been updated
    March 1, 2023

    Bought shares of Fidelity Physical Bitcoin ETP

    • Shares n.a.
      Cost per share 2.19 EUR
      Amount n.a.
  • Portfolio has been updated
    May 1, 2022

    Bought shares of WisdomTree Physical Ethereum

    • Shares n.a.
      Cost per share 27.29 EUR
      Amount n.a.
  • Portfolio has been updated
    Jan. 1, 2021

    Bought shares of iShares Core MSCI World UCITS ETF USD (Acc)

    • Shares n.a.
      Cost per share 51.59 EUR
      Amount n.a.

    Bought shares of Vanguard LifeStrategy 60% Equity UCITS ETF Accumulating

    • Shares n.a.
      Cost per share 26.17 EUR
      Amount n.a.

    Bought shares of iShares Core MSCI Emerging Markets IMI UCITS ETF (Acc)

    • Shares n.a.
      Cost per share 22.87 EUR
      Amount n.a.

    Bought shares of iShares Core Global Aggregate Bond UCITS ETF EUR Hedged (Acc)

    • Shares n.a.
      Cost per share 5.20 EUR
      Amount n.a.

    Bought shares of iShares Euro Inflation Linked Government Bond UCITS ETF

    • Shares n.a.
      Cost per share 206.23 EUR
      Amount n.a.

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  • erik21426

    User VIP

    In merito alla quota azionaria: I popolari Vanguard Lifestrategy, altro non sono che degli All World abbinati ad un Global Aggregate Bond (VWCE + AGGH per semplificare). Trattasi quindi di portafogli a mercato. Vengono costruiti utilizzando più di due ETF, tuttavia la combinazione di questi ha una performances sovrapponibile. VWCE a sua volta è riassumibile con World 85% + Emerging 15%. Dissezionando i 4 tipi di fondi azionari che hai utilizzato con questo criterio otteniamo questo:


    Sommando e poi arrotondando i 3 indici in cui stai investendo con dei ticker di ETF economici ad accumulo otteniamo questo: 


    Utilizzando quindi questi 3 ETF o equivalenti ottieni la stessa esposizione, senza sovrapposizioni identiche tra gli etf e un ter ridotto di oltre il 30%, nello specifico 0,10% contro 0,16% (valori complessivi del portafoglio). Inoltre hai più semplicità di gestione (1 etf in meno)