Actually the portfolio only has 10 funds, not 12. I recently read two articles in Money Magazine recommending foreign bonds and emerging market funds because of the global economy, and the possibility of inflation and deflation. I have also read advice that one should invest in commodities and real estate for diversification. Do you disagree, or think an investor can have the same diversification with fewer funds?
Best Of |
Favorites & Replies |
Start a New Board |
My Fool |
BATS data provided in real-time. NYSE, NASDAQ and NYSEMKT data delayed 15 minutes.
Real-Time prices provided by BATS. Market data provided by Interactive Data.
Company fundamental data provided by Morningstar<