Wednesday 3 November 2021

David Swensen Portfolio

The David Swensen Portfolio asset allocation looks like this:

  • 30% Total Stock Market
  • 15% International Stock Market
  • 5% Emerging Markets
  • 15% Intermediate Treasury Bonds
  • 15% TIPS
  • 20% REITs
























https://www.optimizedportfolio.com/david-swensen-portfolio/

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