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REDDIT

Hypothetical - how to position investments for a global debt crisis?

Hypothetical because I'm mostly a passive index investor and will likely continue doing what I do either way. But I'm curious what opportunities, or simply safe havens, investors are considering during a sudden global unwinding of the insane levels of personal, private, institutional, and government debt.

How would you want to allocate pre-crisis and then how would you deploy? What do you want to be in and what do you NOT want to have exposure to?