Re: 基金投資
The portfolio is not balanced because it only invest in equity funds, and funds 1,2,4 has high correlation with each other and therefore the risk cannot be diversified. I would suggest at least adding the hedge fund Man AHL Diversified Futures to reduce the risk in down markets. Of course it would be even better if you replace some of the funds with lower correlation ones. I have sent you an article about fund portfolio investment which will give you ideas on how to contruct a portfolio with low correlation funds to achieve better long term return. If you have any question please don't hesitate to PM or email me.
Mummy2006 寫道:
I am currently reviewing some of the investment saving plans in the market. I've met 2 IFAs, one of them has come up with the following proposal. Can you pls give me some comments ?
1. Allianz GIS RCM Total Return Asian Equity Fund - 20%
2. First State China Growth I - 25%
3. Investec GSF Global Energy A - 15%
4 Investec GSF Global Strategic Value A - 25%
5. MLIIF Latin American A2 USD - 15%
我們勞苦努力,正是為此,因我們的指望在乎永生的神。他是萬人的救主,更是信徒的救主。<提摩太前書 4:10>