列一张表,根据自己的风险承受能力和期望值决定某段时间资金分配权重,比如订个一年计划
method start balance return range end balance range probability of loss
CD $100K 2% $102k 0%
Bond $30k -5% to 10% $28.5k-33k 30%
Stock $20k -80% to 80% $4k - 36k 70%
Option $10k -100% to 500% $0 – 50k 95%
Total $160k -16% to 38% $134k-221k 18%