Hi, I have a 10+ year horizon and I'm torn between two setups. I want a tech "tilt" but I'm wary of being 100% dependent on the US.
**Option A (Global Tilt):**
* **80% Vanguard FTSE All-World (VWCE)**
* **10% WisdomTree AI (WTAI)**
* **10% L&G ROBO Global Robotics (ROBO)** *(Rationale: Capture AI, Quantum, and Robotics globally, including Japan/Europe).*
**Option B (The Standard):**
* **90% VWCE + 20% Nasdaq-100 (EQQQ)** *(Rationale: Lower fees, proven track record, but 100% US tech exposure).*
**My Questions:**
1. Is Option A’s methodology (WTAI/ROBO) superior for catching the "next big thing" (Quantum/Deep Tech) compared to the market-cap-weighted Nasdaq?
2. Is the global diversification of Option A worth the higher expense ratios (TER)?