小資把資產配置在0050和0056上,幾乎可以 - 股票
By Ophelia
at 2019-11-23T23:12
at 2019-11-23T23:12
Table of Contents
指數型投資你可以換一個角度思考─
投資台北股市指數=我相信台灣人才庫+資產庫所能產生的效益大於世界經濟成長率。
而 投資台積電=我相信台積電成長率可以一直大於世界經濟成長率。
0049或許現在全都是垃圾,但是當台積電逐漸式微的同時─
台積電目前所抓住的人力資源及資金,就會因為薪資變化與報酬率下降逐漸釋放出來,
這種時候就是挑戰台灣人才庫+資產庫是否可以延續相同的產出效益。
當然現在是全球化市場,資本跟人力的流動都相對快速。
台積電倒了的話,台灣要維持相當的產出效益其實很不容易,很多東西會外流。
但我也相信很多東西會留下,幫助其他49間公司創造較高的產出效益。
在2330倒掉的狀況下,0050跟2330比,損失的比率一定會相對低上非常多。
要說買0050完全不如買2330我是不太同意啦。
本來就是各有優缺的事情,分散風險不會因為市場畸形就完全沒有效果。
只會『相對』沒有效果。
當然如要我推薦,0050是不如Vt、Spy、Vti這類相對全球性的etf分散風險。
也不如買2330集中投資在領先企業,但是當你只考慮0050、2330的時候,確實各有好處。
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