My own positioning is 25% equities and entirely to Asia, if markets plunge increase allocation. I think US and Europe are very overvalued and won't touch it.
My own positioning is 25% equities and entirely to Asia, if markets plunge increase allocation. I think US and Europe are very overvalued and won't touch it.
Your positioning is for how long? I bet you will once again liquidate your entire portfolio if it goes up like 5-10% a few months later.
My own positioning is 25% equities and entirely to Asia, if markets plunge increase allocation. I think US and Europe are very overvalued and won't touch it.
So you sold out your iwda holdings?
Sold almost a year ago and yeah missed out on the big returns.
US markets went up so much last night but STI is down today. STI looks cheap but for some reason, is not performing. I would only buy REITs in Singapore, not the STI ETF.
Would there be a level where you would bite the bullet and buy in again albeit at a higher level than where you sold?