Q: Good day,
Using your new portfolio tracking, I realized that the tech sector occupies too much space in my portfolio. I proceeded to some reductions, but I am still at 32% of my total portfolio, way above your recommendation of 11%.
My present tech holdings are as follows: SQ 2.71%, RPD 1.82%, AAPL 2.64%, PHO 0.93%, GOOG 2.89%, NVDA 2.52%, XLNX 2.48%, AYX 1.36%, KXS 2.27%, TEAM 2.68%, VGT 3.%, XSW 1.36%, IGV 2.29%
In your view, which holding could be reduced or eliminated (or even added) for a more solid tech sector, geared to growth, with reasonable volatility, avoiding unhelpful overlaps ?
Thank you in advance for your assistance,
Jacques
Using your new portfolio tracking, I realized that the tech sector occupies too much space in my portfolio. I proceeded to some reductions, but I am still at 32% of my total portfolio, way above your recommendation of 11%.
My present tech holdings are as follows: SQ 2.71%, RPD 1.82%, AAPL 2.64%, PHO 0.93%, GOOG 2.89%, NVDA 2.52%, XLNX 2.48%, AYX 1.36%, KXS 2.27%, TEAM 2.68%, VGT 3.%, XSW 1.36%, IGV 2.29%
In your view, which holding could be reduced or eliminated (or even added) for a more solid tech sector, geared to growth, with reasonable volatility, avoiding unhelpful overlaps ?
Thank you in advance for your assistance,
Jacques