I've set up my SMSF so it only holds a bunch of ETFs.
At the moment I am holding
GDX (Vaneck Gold miners)
VAF (Australian Fixed income)
VAP (Australian REIT)
VAS (Australian equities)
VEU (All world ex-US equities)
VHY (Australian high yield dividend equities)
VTS (US Equities)
I'm 35 now and not nearing retirement in anyway. Just want to build this super as best I can.
Wondering if anyone can comment on my holdings and whether I should add something that I'm not covering ?
Such as Asian equities or emerging markets?
I do feel maybe theres an overlap with the VAS and VHY ..
Or maybe I should sell down VEU and split into VGS and IAA (all asian ex Japan)
appreciate any input , thanks