Investment ratio
I've tried various things, but so far I'm thinking about investing with the following diversification ratio.
① Index Funded Investment Trust 70%
Low risk, target average annual return of 5 to 10%
Developed country stocks, TOPIX, and emerging market equities center
② Sector-based ETF/Investment Trust 20%
Medium risk, average annual profit target of 10-20%
Narrow it down to 2 sectors (products) of Japan and the US each
③ Individual stocks (mainly in the US) 10%
High risk, 30-50% average annual return target
Aim for gambling that seems to bounce all at once with undervalued stocks of stable companies
Once I've trained a little more and can leave results, I'd like to increase the ratio of ② to ③.
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