Hello
does anyone know aproximately the composistion of K. FitzGerald portfolio? I feel curious about their asset allocation in the 2 first categories (the ’safer’):
– 50% : ”with stability and income-producing potential”
– 40%: “glocal” (global + local) companies with potential for capital appreciation, as well as income in the form of above-average dividend yields.
Thanks in advance and regards from Spain
Pedro.
This is a discussion topic or guest posting submitted by a Stock Gumshoe reader. The content has not been edited or reviewed by Stock Gumshoe, and any opinions expressed are those of the author alone.