Q: Hi,
I have added nearly all the equities in the Growth Portfolio (excluding financials and IWO) to my holdings with percentages ranging from 1% (SCR, QHR) to about 4% (DRT, XTC). I also have CHR, ET, CLR, ESP, KLS, SIS, RZZ, THO, MTSN, SYZ, CPH, RX and WEF among other holdings in my entire portfolio which 5i has had a favorable view in the recent months. My question is whether this portfolio will be too risky in a market correction as I believe more in Small Cap growth than large caps. Plus one or two takeovers will boost this portfolio a lot. What do you think would the right strategy here. Thanks
I have added nearly all the equities in the Growth Portfolio (excluding financials and IWO) to my holdings with percentages ranging from 1% (SCR, QHR) to about 4% (DRT, XTC). I also have CHR, ET, CLR, ESP, KLS, SIS, RZZ, THO, MTSN, SYZ, CPH, RX and WEF among other holdings in my entire portfolio which 5i has had a favorable view in the recent months. My question is whether this portfolio will be too risky in a market correction as I believe more in Small Cap growth than large caps. Plus one or two takeovers will boost this portfolio a lot. What do you think would the right strategy here. Thanks