đđđI choose a combination of Choice B and Choice D. In fact, I believe that this is one of the most successful strategies in the world. I call it the Core and Satellite investment model.
By blending both choices, I create a portfolio that gives me the best of both worlds: the unshakeable safety of broad based index funds wrapped around a few high performing individual stocks.
Choice D: This is the core of my portfolio which I will invest in $SPDR Portfolio S&P 500 ETF(SPYM)$ which tracks the best 500 stocks in the US and $SS SPDR STI ETF(ES3.SI)$ which covers exposure to Singapore's best 30 blue chip companies.
Choice B: My Satellite Portfolio. I will put about 20% to take a tactical bet on companies that are riding massive macro trends.
These include $DBS(D05.SI)$ as it is the top bank in Singapore & the South East Asia region, $NVIDIA(NVDA)$ the best all rounder AI stock.
With B & D, I have the best of both worlds.
@Tiger_comments @TigerStars @Tiger_SG

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