Hi all. Looking for advice regarding what others are doing with their fixed income portion of their portfolio.
In today's artificially govt manipulated environment, some questions as to what everyone is doing.
Me personally, I am lightening my LT exposure, but not totally eliminating, moving toward 10 yr, and trying to mix some small percent of intl bond.
I don't feel comfortable building my own bond port, so I'm using funds and etfs
What are you all doing ?
Total bond index and forget jiggering?
Moving toward short term (1-3yrs) ?
moving toward intermediate (5-10 yrs)?
how much international ?
Funds, ETFs?
In today's artificially govt manipulated environment, some questions as to what everyone is doing.
Me personally, I am lightening my LT exposure, but not totally eliminating, moving toward 10 yr, and trying to mix some small percent of intl bond.
I don't feel comfortable building my own bond port, so I'm using funds and etfs
What are you all doing ?
Total bond index and forget jiggering?
Moving toward short term (1-3yrs) ?
moving toward intermediate (5-10 yrs)?
how much international ?
Funds, ETFs?