ASX 200 ETF bar Financials
Hi team, thank you for the recent reports—great job . I’d like to explore a specific strategy with you. I am looking to invest in an ETF that tracks the ASX but completely excludes the financials sector. There appears to be no such EFT, I want to get your thoughts on a Synthetic Replication: Buying a broad Australian shares ETF (like VAS) while simultaneously shorting the Financials Sector ETF (like QFN)? Is this a viable approach, or is there a simpler way to achieve this exposure? Or should I just buy ASX- MVW as solution for reducing financial sector concentration? I would appreciate your analysis of these ideas. Regards Michael