Q: Hi 5i:
I'm currently trying to reduce the number of stocks I hold in my RIF account to around 20 - 25. In the materials sector I currently hold SJ, CCL.B, AEM, and MX. To reduce this to 2 (maybe 3) stocks, which would you drop? I want my portfolio to be as resistant as possible to market shocks such as NAFTA and general downturns, so feel free to suggest alternative names. Thanks again. Roland
I'm currently trying to reduce the number of stocks I hold in my RIF account to around 20 - 25. In the materials sector I currently hold SJ, CCL.B, AEM, and MX. To reduce this to 2 (maybe 3) stocks, which would you drop? I want my portfolio to be as resistant as possible to market shocks such as NAFTA and general downturns, so feel free to suggest alternative names. Thanks again. Roland