I feel the need of a more flexible way to analyse asset allocation .
By asset type we have the choice between bonds stocks etc , but I would like to distinguish between ETF bond based and ETF stock based.
We can customise asset allocation and asset goal, but I am somehow interested in more groups:
By asset type ( bond, stocks,m etf etc)
By risk type ( rating for instancece)
By debtor ( governement, industry, finance)
By geografic area ( USA , ASia , Europe , or Usa, Canada, Brasil, China India)
By sector ( example : Financial Services, Industrials, Technology, Energy, Consumer Cyclical)
By currency : not necessarely the currency the asset is denominated (we have that) ,but the currency it depends upon ( I can buy an ETF in USD specialised in European stocks, so the currency is USD , but the real dependance would be on Euro
Finally, to be able to report at least to levels : example By area and within the area by sector, or by asset type and within by currency
Mybe all above is already possible, but I dindn't yet found how
giovanni (from Italy)