Q: Hello Peter & Co,
Markets are in turmoil, for 2014 year to date TSX is up 3.4% (incl dividends). Even though my portfolio is up 11.4% over the same period (I hold most of your equity portfolio + other equities), I worry about the world economic outlook.
The strong US$ causes balance sheet problems in the emerging markets, the US yield curve is flattening (short term up, long term down), China is OK with a caveat, Europe is shaky, Russia is in trouble; but the US is fine (is it really), Canada and Australia are shaky.
In the context that I have described, 1) do you re-structure your portfolio?, 2) how? or 3) do you sail on?
Thanks,
Tony
Markets are in turmoil, for 2014 year to date TSX is up 3.4% (incl dividends). Even though my portfolio is up 11.4% over the same period (I hold most of your equity portfolio + other equities), I worry about the world economic outlook.
The strong US$ causes balance sheet problems in the emerging markets, the US yield curve is flattening (short term up, long term down), China is OK with a caveat, Europe is shaky, Russia is in trouble; but the US is fine (is it really), Canada and Australia are shaky.
In the context that I have described, 1) do you re-structure your portfolio?, 2) how? or 3) do you sail on?
Thanks,
Tony