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Short-term government bonds. 20% of the portfolio. An anchor when the stock mark...

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📅 28.03.2026 · Tajna instrukcja Warrena Buffetta. Te 4 fundusze zbuduj... · 👁️ 20

"Short-term government bonds. 20% of the portfolio. An anchor when the stock market falls by 40%, and it will fall, it's not a question of if, but when. This part of the portfolio stands like a rock. You live off it when markets are crazy. You don't sell stocks at the worst prices." "Krótkoterminowe obligacje skarbowe. 20% portfela. Kotwica, kiedy giełda spada o 40%, a spadnie, to nie jest pytanie czy, tylko kiedy. Ta część portfela stoi jak skała. Z niej żyjesz, kiedy rynki szaleją. Nie sprzedajesz akcji po najgorszych cenach."
🌐 (Machine-translated — original in Polish) · oryginał w języku polskim
⚠️ Warning 💰 Economy Medium timeframe (1–5 years) AI Confidence: 80% Assertiveness: high Source on YouTube

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Oryginał w języku Polskim Open on YouTube

Coca-Cola 62 lata z rzędu. Pro and Gumble 68. Te firmy płaciły przez wojnę, recesj, pandemię. Stopa dywidendy na starcie to może 34%, czyli w sumie tyle co lokata w banku. Ale jeśli te dywidendy rosną o 7% rocznie, podwajają się co 10 lat. Zaczynasz od 3%, po 20 latach masz 12. ETF numer 3. Krótkoterminowe obligacje skarbowe. 20% portfela. Kotwica, kiedy giełda spada o 40%, a spadnie, to nie jest pytanie czy, tylko kiedy. Ta część portfela stoi jak skała. Z niej żyjesz, kiedy rynki szaleją. Nie sprzedajesz akcji po najgorszych cenach. Ważne, krótkoterminowe, nie długoterminowe. W 2022 amerykańskie długoterminowe obligacje skarbowe straciły ponad 30%. Bezpieczna przystań, nie w tym przypadku. ETF nędzynarodowe spółki dywidendowe. 10% portfela Europa, Japonia Australia Kanada. Ubezpieczenie na wypadek scenariusza, w którym Ameryka nie dominuje przez następne 30 lat. Europejskie s

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