請幫我看看ETF為主的組合 - 投資
By Tom
at 2009-12-23T17:05
at 2009-12-23T17:05
Table of Contents
1. 單筆
2. 投資組合標的 (萬)
總值:3000
現金:450 (15.0%)
房屋:350 (11.7%)
VWO :400 (13.3%)新興市場股票
VTV :200 ( 6.7%)美國大型價值股
RZV :200 ( 6.7%)美國小型價值股
EFV :200 ( 6.7%)大型非美國價值股
IFSM :200 ( 6.7%)已開發國家除北美小型股
BIV :200 ( 6.7%)美國中期公債(含公債及公司債)
MBG :200 ( 6.7%)美國房屋抵押債券
WIP :200 ( 6.7%)非美國抗通膨債券
PCY :200 ( 6.7%)新興市場公債
MTK :150 ( 5.0%)台股聯發科
黃金 : 50 ( 1.7%)飾品
3. 股債比:約2:1
4. 組合理由:分散標的及降低銷售管理費用。
5. 進場時間:最近
6. 不停利停損,僅再平衡。
7. 投資目的:(1)追求現金及房屋外資產長期平均5%以上年報酬(通膨調整後)
(2)7年內不需將投資變現。
8. 補充:
(1)30歲,已婚,一個一歲的小孩,未來4至7年會在美國唸書,
預計第一年支出200萬,之後每月約3萬;
可能有暑期實習工作機會,也可能毫無收入,幾乎不可能投入新的資金加碼。
(2)最近發現MBG及IFSM有交易量過低的問題,考慮轉換成類似標的,
不知有無較好的轉換方式。(我用firstrade)
(3)因隱私考量,使用較少用的ID,還請見諒。
(4)請多指教,謝謝。
--
2. 投資組合標的 (萬)
總值:3000
現金:450 (15.0%)
房屋:350 (11.7%)
VWO :400 (13.3%)新興市場股票
VTV :200 ( 6.7%)美國大型價值股
RZV :200 ( 6.7%)美國小型價值股
EFV :200 ( 6.7%)大型非美國價值股
IFSM :200 ( 6.7%)已開發國家除北美小型股
BIV :200 ( 6.7%)美國中期公債(含公債及公司債)
MBG :200 ( 6.7%)美國房屋抵押債券
WIP :200 ( 6.7%)非美國抗通膨債券
PCY :200 ( 6.7%)新興市場公債
MTK :150 ( 5.0%)台股聯發科
黃金 : 50 ( 1.7%)飾品
3. 股債比:約2:1
4. 組合理由:分散標的及降低銷售管理費用。
5. 進場時間:最近
6. 不停利停損,僅再平衡。
7. 投資目的:(1)追求現金及房屋外資產長期平均5%以上年報酬(通膨調整後)
(2)7年內不需將投資變現。
8. 補充:
(1)30歲,已婚,一個一歲的小孩,未來4至7年會在美國唸書,
預計第一年支出200萬,之後每月約3萬;
可能有暑期實習工作機會,也可能毫無收入,幾乎不可能投入新的資金加碼。
(2)最近發現MBG及IFSM有交易量過低的問題,考慮轉換成類似標的,
不知有無較好的轉換方式。(我用firstrade)
(3)因隱私考量,使用較少用的ID,還請見諒。
(4)請多指教,謝謝。
--
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