easyfolio 70 aims for strong long-term growth by investing 70% of its portfolio in a wide variety of global stocks from Europe, the USA, Japan, Emerging Markets, and Asia/Pacific (excluding Japan). The remaining 30% is dedicated to bonds, including government bonds worldwide and corporate bonds from the USA, Europe, and other regions. The fund uses exchange-traded funds (ETFs) to build a diversified and balanced investment portfolio focused on maximizing growth potential.