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I've been thinking about this for about a week now.

Up until today my portfolio in percents was 53/37/10 US stock/international/bonds. I just don't have any faith in international markets over the next 10 years or so. Almost every concerning trend I see in US markets is even worse in Europe. Sure China might gain on the US but other than that I don't see how international stocks will outperform US. I changed my allocation to 60/30/10.

What does everyone else think about US vs international markets over there next decade or two?



Submitted February 09, 2020 at 07:21PM by ninjajaguar https://ift.tt/2UFQ1DR

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