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Determining Portfolio International Exposure Level

Best for: Portfolio Manager, Investment Analyst, Risk Manager, Financial Advisor, Investment Consultant.

Determining the appropriate level of international exposure for a portfolio is a crucial decision that can significantly impact its risk and return profile. This prompt provides a framework to help investors assess the factors that influence the optimal level of international diversification, including currency risk, market correlation, and investment goals. By following the guidance in this prompt, investors can make informed decisions about how much of their portfolio to allocate to international assets, aiming to maximize diversification benefits while managing potential risks.

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