Hi all, I just started with stashaway with 22% SRI portforlio earlier this year around February. Recently i am thinking to increase my risk index as I plan to continue with stashaway for a longer term.
I've tried to look up at the different portfolios and allocation of 30% and 36%. Being not financially literate, I can't really tell the pros and cons of each allocation. 36% seems to reduce US exposure, ie XLV, and more on KWEB. From my understanding, KWEB has dropped since March.
In your opinion, do you think it is a good time to switch portfolio? Which one would be a better option as of now?
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Jun 15 2021, 09:06 PM
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