Hi there, is it a common practice to portion your portfolio by geography, for example:
A% US stocks
B% Europe
C% Asia Pacific
D% Emerging
E% Bonds
and rebalancing annually, as compared to using a total world stock market fund?
A% US stocks
B% Europe
C% Asia Pacific
D% Emerging
E% Bonds
and rebalancing annually, as compared to using a total world stock market fund?
Statistics: Posted by haddock — Fri Jan 24, 2025 5:02 pm — Replies 6 — Views 178