
European investor in his 40s, Italy. ETF-only portfolio, globally diversified and built for long-term growth. Time horizon: 25–30 years. No dividends — too tax-inefficient. The real play is compounding, quietly doing its job through consistent accumulation. Always focused on optimizing risk and return. Comfortable with a hypothetical drawdown of around -35%, if the world were to collapse. Sit back, let time work — and enjoy the ride. Disclaimer: This is not financial advice, just sharing personal experience
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