- Joined
- Sep 10, 2006
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Please indicate whether the % is of your whole portfolio (i.e. cash, bond, stock) or is just of the stock portion.
We currently have ~15% international (of total portfolio). This includes total international and emerging markets funds.
We are thinking of increasing our exposure but would like to see other's reasons for either holding less or more.
Still actively contributing with retirement hopefully 5-10 years away(overall asset allocation 73% stock, 18% bond, 9% cash).
Thanks!!
We currently have ~15% international (of total portfolio). This includes total international and emerging markets funds.
We are thinking of increasing our exposure but would like to see other's reasons for either holding less or more.
Still actively contributing with retirement hopefully 5-10 years away(overall asset allocation 73% stock, 18% bond, 9% cash).
Thanks!!