Macro-driven ETF investing for long-term growth
Diversified ETF portfolio built on macro analysis. Dynamic allocation adjusting exposure 30-90% based on market conditions. Master's degree in finance. 5+ years transparent track record.
@Andrius1
Diversified ETF Investor • 🇬🇧 UK
Investment Strategy
Macro-driven, dynamically allocated
A systematic approach combining macro analysis with tactical ETF allocation for growth and dividend security.
Macro Analysis
Portfolio decisions driven by macroeconomic research. Monitoring global trends, interest rates, inflation, and market cycles to position ahead of moves.
Dynamic Allocation
Flexible stock exposure ranging 30-90% based on market conditions. Tactical shifts between growth, value, and defensive positions as the cycle evolves.
ETF Focus
Diversified through ETFs for broad market exposure and efficient execution. Sector ETFs, index funds, and strategic positions for optimal risk-adjusted returns.
Andrius Sabunia
eToro Popular Investor • Master's Degree
UK-based investor with a Master's degree and 5+ years of transparent track record on eToro. My approach combines rigorous macro analysis with tactical ETF allocation for consistent growth.
Academic foundation, practical execution
With a Master's degree and deep interest in macroeconomics, I approach investing as a disciplined research process. Every position is backed by fundamental analysis and market cycle awareness.
2025 marks my 3rd consecutive profitable year. My focus: be selective with headlines, especially during late-cycle consensus, and maintain conviction through volatility.
I believe in transparency—sharing not just returns but the reasoning behind every allocation decision with my copiers.
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