AMA The Fifth Person
Asked on 21 Feb 2019
I have about 50% of the portfolio in overseas companies.
About 75% are focused in my options portfolio in the US. Rest are mostly in reits here, with a small portion in private equity
Top Contributor (Jan)
My overseas counters are index ETFs, counted or not? I think my allocation is about 30-40%.
90-95%+ overseas - a bit hard to pin down as there may be exposures through my managed funds into SG but that is likely to be small so probably on the upper side of the range.