是怎麽配置的?
SPY, Bond or money market will make big difference?
是怎麽配置的?
SPY, Bond or money market will make big difference?
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可能指長期年收益平均4%容易達到?按自己承受能力看著辦,一半一半?
-成功的兔-
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05/03/2024 postreply
13:18:55
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通脹~3%,而均衡投資組合(比如一半股票一半債券)的平均年化收益率是7%左右。所以,你可以安全用掉4%。
-矽穀居士-
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05/03/2024 postreply
13:37:59
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如果90%股票/10%債券,年化收益率可以到9%。那麽扣除3%通脹,理論上你可以取出6%,而不是4%。
-矽穀居士-
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05/03/2024 postreply
13:40:56
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謝謝各位答疑
-sj1993-
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05/03/2024 postreply
16:01:21
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