Asked on 28 Mar 2019
Channel into my offshore brokerage to manage my options portfolio for 60% returns pa.
75% Equity 25% Bond
In the equity portion:
Quite even between the different geographies with a little more weighted in Asia right now.
For the bonds, mainly investment grade SG bonds, and some global high yield corp bonds.
Globally diversified, matching my risk profile, and I'll adjust the bond portion up 5% every 5 years, rebalanced quarterly.
Expected portfolio return in the long run, 6-8+% returns p.a.