Manual rebalance from US to Total World?
Resume IA
L'auteur souhaite rééquilibrer son portefeuille en réduisant son exposition aux États-Unis et en augmentant son exposition au monde entier pour limiter les pertes.
Conseil cle
Ne pas laisser la peur dicter les décisions d'investissement et considérer une approche à long terme
My current portfolio consists of about 3:1 between US to Total World. Year to date, I'm bleeding hard (like most of us I guess). I've been planning to eliminate about 80% of my investments in order to use the cash as down payment for an apartment I'm planning to buy this year. US is bleeding harder than entire world combined, but in order to stop further drastic falls, I have been considering to eliminate most of my US exposure and rebalance them to total world. However, I'm not sure if it's wise or it's the panic inside me talking. Without trying to predict the future, can you help me understand if this makes sense?