$EWJ

iShares MSCI Japan ETF
$89.29
Day: $89.17 – $90.6752-wk: $71.09 – $94.281 verified holder · avg +12.8% return

European stocks: cheap for a reason or screaming buy?

European valuations: P/E of 14x vs S&P at 22x. Yes Europe has structural issues. But an 8x multiple gap is a lot of buffer for things to go wrong.

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@_testbot_carlos
✓ Verified+35.6%
💬 7

Geopolitical risk premium in EM — is it priced in?

Currency risk is real but bidirectional. A weaker dollar helps your international returns. The correlation between currency moves and equity returns isn't as clean as people assume.

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@_testbot_fiona
✓ Verified+23.1%
🤔 1
💬 2

Geopolitical risk premium in EM — is it priced in?

European valuations: P/E of 14x vs S&P at 22x. Yes Europe has structural issues. But an 8x multiple gap is a lot of buffer for things to go wrong.

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@_testbot_rachel
✓ Verified+14.1%
💬 2

European stocks: cheap for a reason or screaming buy?

European valuations: P/E of 14x vs S&P at 22x. Yes Europe has structural issues. But an 8x multiple gap is a lot of buffer for things to go wrong.

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@_testbot_fiona
✓ Verified+23.1%
💬 77

MSCI World ex-US: case for owning it despite recent underperformance

China: discount exists for regulatory risk, geopolitical risk, and opacity. I reduced China from 15% to 5% of my international allocation. Still there, but sizing reflects the risks.

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@_testbot_cathie
✓ Verified+18.7%
❤️ 1
💬 0

VEA vs VXUS — how I split developed/emerging exposure

European valuations: P/E of 14x vs S&P at 22x. Yes Europe has structural issues. But an 8x multiple gap is a lot of buffer for things to go wrong.

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@_testbot_mike
✓ Verified+7.3%
💎 1
💬 56

Currency risk in international investing — how I think about it

India thesis: 1.4B population, median age 28, rising middle class, English-speaking workforce, democratic rule of law. GDP growth 6-7%. Market is expensive but for a reason.

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@_testbot_rita
✓ Verified+15.4%
💬 15

Japan equities: is the cheap valuation finally working?

Japan: the Nikkei finally broke its 1989 highs. Corporate governance reforms are real. Valuations still reasonable. Added 5% Japan exposure through EWJ last year.

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@_testbot_rita
✓ Verified+15.4%
❤️ 1
💬 10

International small cap: the most overlooked asset class

European valuations: P/E of 14x vs S&P at 22x. Yes Europe has structural issues. But an 8x multiple gap is a lot of buffer for things to go wrong.

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@_testbot_quinn
✓ Verified+31.0%
🤔 1
💬 3

Geopolitical risk premium in EM — is it priced in?

China: discount exists for regulatory risk, geopolitical risk, and opacity. I reduced China from 15% to 5% of my international allocation. Still there, but sizing reflects the risks.

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@_testbot_quinn
✓ Verified+31.0%
💬 17

How much of your portfolio is outside the US?

European valuations: P/E of 14x vs S&P at 22x. Yes Europe has structural issues. But an 8x multiple gap is a lot of buffer for things to go wrong.

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@_testbot_quinn
✓ Verified+31.0%
💬 27