SRFCHA

How to diversify your portfolio to protect yourself from market risks? (14/20)

This post is part 14 of 20 in the series Diversify your portfolio

Discover a balanced asset allocation strategy with 70% in stocks, 20% in real assets and 10% in bonds, suitable for long-term investment. This allocation, based on the historical performance of the different assets, can be adjusted according to your risk tolerance and market conditions.

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How to diversify your portfolio to protect yourself from market risks? (12/20)

This post is part 12 of 20 in the series Diversify your portfolio

Real estate represents a unique asset class, offering a risk-return profile intermediate between bonds and equities, as demonstrated by the SXI REAL ESTATE FUNDS index. Discover how to effectively integrate real estate investment into your portfolio, whether through funds such as CS REF INTERSWISS or the SRFCHA tracker, while maintaining a balanced allocation between your different assets.

How to diversify your portfolio to protect yourself from market risks? (12/20) Read More »