財務自由 by 2018

記錄我的股票,基金和投資理財經曆
正文

控製風險的策略

(2007-09-05 19:35:51) 下一個

Diversity by country
Diversify by asset class
Diversify by sector
Defer tax or employ strategies that lower tax
Focus on companies with low debt, good management and consistent savings
Dollar cost average. Time
Buy users of technology. not designer of it
Buy hard assets. Buy bonds indexed to inflation and interest rates
Diversify by currency. Avoid high debt economies. Buy global companies.
Go short-term with floating rate investments when rate rise.
Buy vertically integrated companies.
Asset allocation. Know your sleep point.
Dollar cost average.
Determine accuracy of source
Stay away from investment that do not have active buyers and sellers.

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