這樣的基金配置好嗎?? - 投資

By Caitlin
at 2007-12-31T16:01
at 2007-12-31T16:01
Table of Contents
我是投資型保單的
目前滾入投資的金額約一萬元
因為之後會慢慢加多 所以開始覺得不再完全交由經紀人去操控(我懷疑他沒在看)
所以今天將原本的投資標的做了個轉換
原本 現在
1.富蘭克林坦伯頓成長 30% ---> 富蘭克林坦伯頓成長 20%
2.美林歐洲特別時機基金 20% ---> 摩根士丹利拉丁美洲股票 20%
(經紀人說不看好明年歐洲 = =)
3.美林日本特別時機基金 20% ---> 寶源環球新興亞洲 20%
(原本最想將這支換掉><")
4.美林世能 10% ---------------> 美林世能 20%
5.聯博美國收益 20% -----------> 聯博新興市場成長基金 20%
問題:
1.五檔有三檔是押在新興市場,會不會有風險性,
或者乾脆只集中在一支上就好,因為同質性太高??
2.因為目前進場投資金額還算少,且投資五檔,所以根本不用煩惱績效問題,
因為自然會分散風險??
p.s感覺自己有點杞人憂天,跟板上的投資金額跟連結檔數來看,
好像小巫見大巫
謝謝指教!!^^
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