Seeing lots of 2020 investment recaps. My personal portfolio for the last nine years has been roughly 24% stocks, 67% bonds and 9% gold leveraged to 1.8x — stocks are MSCI world, bonds are a mix of US, UK and Euro govt/corp.
-
-
Cost of leverage has varied but generally about 1% above sterling risk free rate. Will post more details on rationale and performance later, short version for 2020 is that performance was good though not outstanding.
Show this thread -
Seems similar to
@breakingthemark though with more bonds and more leverage.Show this thread
End of conversation
New conversation -
Loading seems to be taking a while.
Twitter may be over capacity or experiencing a momentary hiccup. Try again or visit Twitter Status for more information.