Timing and allocation are the essence of investing into longevity. The global recession is unavoidable, at this juncture who will have a greater risk of more downside?
1 being the most risky and 3 less risky:
• USA-1, SIN-2, CHN-3 or
• USA-2, SIN-3, CHN-1 or
• USD-3, SIN-1, CHIN-2
The real danger will be with the continuous rise in interest rates and yet the dollar starts weakening, just like the pound. Not happening now, I am keeping watch on this closely. However, it is not all bad news…
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$Invesco DB US Dollar Index Bullish Fund(UUP)$ $STI ETF(ES3.SI)$ $Straits Times Index(STI.SI)$ $S&P 500(.SPX)$ $FTSE China H50 Index - main 2210(FCHmain)$
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