
August 1, 2026
What are stocks and bonds actually expected to return, region by region? History favours the US for stocks; current valuations favour Europe for the next decade. Bonds show fewer differences: European yields have caught up to US yields, but Eurozone inflation eats more of that nominal return. Asia and emerging markets offer no reliable trend.

July 28, 2026
The series on building my retirement portfolio skips five things that matter just as much as the portfolio itself: taxes, what to leave behind, adapting the plan over time, an emergency fund, and knowing when to stop managing it yourself. The first one deserves the most attention.

July 27, 2026
An 8-fund alternative to my full 14-fund portfolio, for less day-to-day complexity. Costs are about the same (0.22% vs 0.20% TER), but it comes with trade-offs: more concentration per fund, less visible EM exposure, and lower direct EUR exposure. Worth to take a look at if you'd rather keep things simple.

July 10, 2026
A retirement portfolio for income, built step by step in 8 posts: how I set my objectives, screened and picked ETFs, assembled the complete portfolio, and now manage it. This is my real portfolio, not a theoretical exercise - I started converting a large part of my assets into this exact setup in summer 2026.