Daily Productive Sharing 1044 - Diversify in Time and Category
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With the recent fluctuations in global stock markets, how should we respond? Nick Maggiulli provided his analysis:
- Looking solely at a country’s market data may not be sufficiently diversified. For example, Norway’s stock market is heavily dominated by oil-related industries, and Germany’s by industrial sectors. When these industries fluctuate, it can have a significant impact on the entire country's stock market.
- The best strategy in a volatile stock market is still diversification. Diversification isn’t just about investing in different companies, but also about sticking to investments and diversifying across time.
- How long could the market underperform? It could last over a decade.
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最近各地股市波动不断,我们应该如何应对?Nick Maggiulli 给出了他的分析:
- 单看各国的市场数据也有可能不够分散,比如挪威的股市基本被石油相关产业所主导,德国的股市基本被工业所主导。一旦这些产业产生波动,就会对整个国家的股市产生很大的影响;
- 面对波动的股市,最好的策略还是分散投资。分散不仅仅在于投资不同的公司,还在于坚持投资,从时间维度上做到分散。
- 股市最差的情况会持续多久?可能会有十多年(这一数据应该不包括 A 股)。
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