What are your thoughts on the following portfolio for a Eurozone investor? The goal is to have a worldwide equity/bond portfolio with a small tilt to keep U.S. equity at below 50% and European equity at above 20% (of the equity part).
60% Vanguard FTSE Developed
10% Vanguard FTSE Developed Europe ex UK
10% Vanguard FTSE Emerging Markets
10% iShares Global Aggregate Bond
10% Vanguard $ EM Government Bond
Overall TER is below 0.2%. Regular contributions to be used to buy the component that is furthest below target allocation (buy low).
I’d be happy about feedback!