Asset allocation during recession
Posted: Sat Feb 16, 2008 10:37 pm
Hi all,
I am going through the process of rebalancing my 401k and other investments.
One thing I am thinking of is tuning my asset allocation to a recessionary scenario. If one does believe we are in a recession that would last at least a year, how should that logically effect your asset allocation?
The following is my guess, but gurus can comment:
Foreign stocks (overweight, assuming you believe recession is localised in US)
Large cap (overweight, since they are likely to survive the recession)
small/medium cap (underweight)
Bonds (underweight? )
Sector specific funds, specifically Tech, Realestate (??)
-sequoia
I am going through the process of rebalancing my 401k and other investments.
One thing I am thinking of is tuning my asset allocation to a recessionary scenario. If one does believe we are in a recession that would last at least a year, how should that logically effect your asset allocation?
The following is my guess, but gurus can comment:
Foreign stocks (overweight, assuming you believe recession is localised in US)
Large cap (overweight, since they are likely to survive the recession)
small/medium cap (underweight)
Bonds (underweight? )
Sector specific funds, specifically Tech, Realestate (??)
-sequoia