If it were my $1 million, I’d prioritize strong long-term growth while keeping some protection against a major tech sell-off. My $1M portfolio Asset Allocation Why S&P 500 $300K (30%) Core position; diversified exposure to the US market NVIDIA $250K (25%) Strong AI/semiconductor growth potential Gold $150K (15%) Hedge against inflation and market uncertainty Bitcoin $150K (15%) High-risk/high-upside alternative asset Cash $150K (15%) Dry powder to buy major market corrections Total $1,000K
My first Singapore stock is C3TU (REIT) is C3TU Capitaland Mall Trust, pay out is good I chose to invest in Singapore stock because of high dividends and safety of the industry
A barbell strategy (some cash, some gold/Bitcoin, and selective equities or Treasuries) could make sense right now. Timing is key—don't chase Bitcoin or bonds blindly; monitor macro triggers.