Not buying US for a while. 60% exposure is already too much.
Buying European until my portfolio is 30% European. Then I will buy global index funds again, preferably a mix that excludes the US. Don’t want more than 20-30% in US stocks. The political risk is too high in my opinion
Not buying US for a while. 60% exposure is already too much.
Buying European until my portfolio is 30% European. Then I will buy global index funds again, preferably a mix that excludes the US. Don’t want more than 20-30% in US stocks. The political risk is too high in my opinion