Folks
About to invest a lump sum in QL as its sitting in a poorly performing deposit a/c. Have a long term view (min. 10yrs) and was thinking of the following split.
Euro 35%
US Free 15%
Latin Am 15%
Emerging 20%
China 15%
Rationale for above is primarily to diversify into different indices to spread risk. I see Euro & US to be relatively 'safe' & solid over long term, therefore half my investment in these two. The other 50% is split over three higher risk options but potentially offering higher returns. Would appreciate any feedback or opinions on this split. Thanks in advance, apple1
About to invest a lump sum in QL as its sitting in a poorly performing deposit a/c. Have a long term view (min. 10yrs) and was thinking of the following split.
Euro 35%
US Free 15%
Latin Am 15%
Emerging 20%
China 15%
Rationale for above is primarily to diversify into different indices to spread risk. I see Euro & US to be relatively 'safe' & solid over long term, therefore half my investment in these two. The other 50% is split over three higher risk options but potentially offering higher returns. Would appreciate any feedback or opinions on this split. Thanks in advance, apple1