Q: Which would you keep in order to potentially provide a boost to a conservative blue chip RIF? Both are small holdings, 1.5% each. Also have AAPL, MSFT, TER and NVDA for the same reason.
5i Research Answer:
We would be fine keeping either; however, with the "conservative" note in the question we would side with the much-larger SHOP as the one to keep if just one.