9-ETF DCA portfolio, 22yo EU engengeering student
Running a globally diversified DCA portfolio:
Core S&P 500: 30%
Automation & Robotics: 12,5%
AI & Big Data: 12,5%
MSCI EM ex-China: 10%
Core Stoxx Europe 600: 10%
MSCI Japan: 10%
MSCI China: 7,5%
Nasdaq-100: 4%
Hang Seng Tech : 3,5%
DCA rebalancing without selling, 30+ year horizon. The thematic tilt 25% combined in Robotics and AI/Big Data reflects my field of study and personal conviction.
Curious what people think given the time horizon?