portfolios
Currently, we have almost made a full investment. The breakdown is like 59% for emerging and developing countries, 39% for US stocks, and 2% for Bitcoin.
Although there is still a possibility that the S&P 500 will fall in the short term, it is unlikely that it will drop significantly from here on out.
More than that, considering that there is a possibility that US stocks will rise significantly every year from fall to the end of the year, I think not having sufficient positions would be a risk.
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