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03:11
Jan 29
Jan 29
Diversify KOSPI core with low-correlation assets.
Because a core KOSPI and semiconductor portfolio can suffer sharp drawdowns in crises, he advises pairing it with assets that move differently from KOSPI, such as global equities, asset allocation funds, and IPO or public offering funds, while excluding inverse products. This helps clients stay invested with less fear.
MED
About Asset allocation funds Investor Commentary
Across the available history and selected sources, Buzzberg tracks Asset allocation funds across 1 sources: 1 bullish vs 0 bearish calls from 1 authors. Historical directional balance: 100% = 100 × (bullish − bearish) / all deduplicated idea records, including other directions. This is neither a probability of a price rise nor the share of bullish authors. 1 total trade idea tracked. Latest voices: Lee Jong-han.