Hi everyone,
I’m building a long-term passive/index portfolio and I’d like to get your feedback.
This is the allocation I’m considering:
* **Fidelity MSCI World Index Fund P-ACC-EUR (IE00BYX5NX33)** → **60%**
* **iShares Emerging Markets Index Fund (IE) Acc EUR class S (IE000QAZP7L2)** → **20%**
* **Vanguard Global Small-Cap Index Fund Investor EUR Accumulation (IE00B42W3S00)** → **20%**
What do you think?
* Is this portfolio well diversified?
* How would you adjust it (if at all)?
Long-term horizon (+15 years), medium/high risk tolerance.
Thanks in advance!