My Investment Strategy at the moment is Diversification
MARC FABER : My investment strategy during this time is that you have to diversify
and minimize your risks from economic, political, geopolitical and other
factors. Your portfolio should include properties, stocks and equities,
corporate bonds, gold and silver, plus cash. It should be 25 per cent
of each, or 125 per cent - just to mimic the US accounting standard
where things now do not add up.
Marc Faber is an international investor known for his uncanny predictions of the stock market and futures markets around the world.