B***r 发帖数: 79 | 1 My understanding:
. Interest rate will get lower, so does the return of money market.
. Bond price will rise.
. US dollar gets weaker.
. Inflation will be higher.
My strategy:
. Move to bond fund from money market
. Increase ratio of international fund in my portfolio
. Increase ratio of resource sector fund
Won't buy TIPS, which is basically bond.
Any corrections welcomed. |
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