資產配置是否需加重台灣部分? - 投資
By Faithe
at 2017-01-06T14:51
at 2017-01-06T14:51
Table of Contents
各位板友大家好
想跟大家請教有關資產配置的疑問,
對於是否應加重投資於本國股市(例如一部分配置於0050),
先前有聽過兩派說法,聽起來都頗有道理,
所以想問問大家的看法。
一派說法是應該要增加其投資比例,因為我們最後要花的是台幣,
所以加重配置本國部分,可以有相當良好的匯率避險效果。
而另一派則不贊成偏重本國,認為買自己國家的股票,
就如同買自己公司的股票一樣,景氣好的時候叫錦上添花,
景氣差的時候叫落井下石,本業已經不佳了,更還受到投資失利的雙重打擊。
不曉得各位比較偏向於哪一方的說法呢?
--
想跟大家請教有關資產配置的疑問,
對於是否應加重投資於本國股市(例如一部分配置於0050),
先前有聽過兩派說法,聽起來都頗有道理,
所以想問問大家的看法。
一派說法是應該要增加其投資比例,因為我們最後要花的是台幣,
所以加重配置本國部分,可以有相當良好的匯率避險效果。
而另一派則不贊成偏重本國,認為買自己國家的股票,
就如同買自己公司的股票一樣,景氣好的時候叫錦上添花,
景氣差的時候叫落井下石,本業已經不佳了,更還受到投資失利的雙重打擊。
不曉得各位比較偏向於哪一方的說法呢?
--
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投資
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