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What's your suggestion or framework for max allocation of portfolio to China if one is aggressive? 20%?

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If you're investing, 20%-25%. If you're trading, 20-30%. The upper end of this range if you get into swing lows. But the lower part of the range if you get in mid-range.

Anything beyond this allocation and gap downs in China (which happen all the time) can get capital stuck for quite a bit.

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