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? li
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