My rule is CF yield - probability of default > 5%. :D
Why 5%? Curious to know how you set that figure.
What do you think about diversifying P2P investments across platforms? And across countries? Is this form of diversification to reduce risk valid given the stark differences in platform standards across countries, or would investors be diversifying for the sake of doing so?
Looks like your connection to Crowdfund Talks | A Community for P2P Lending & Alternative Investments was lost, please wait while we try to reconnect.