I’ve invested a large part of my EBI end-of-contract money in a long-term fund platform offered by Generali International.
The portfolio is fairly well balanced:
currency distribution
% USD 27.5
% EUR 72.5
asset distribution
% BOND 37.14
% STOCK 44.06
% CASH 14.23
% OTHER 4.60
geographic distribution
% AMERICA 31.11
% EUROPE 38.61
% ASIA 30.20
% USD 27.5
% EUR 72.5
asset distribution
% BOND 37.14
% STOCK 44.06
% CASH 14.23
% OTHER 4.60
geographic distribution
% AMERICA 31.11
% EUROPE 38.61
% ASIA 30.20