- 
        
                            
                Alphabet Inc. (GOOG $277.05)
    
        
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                Brookfield Infrastructure Partners L.P. (BIP.UN $48.05)
    
        
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                iShares Core MSCI All Country World ex Canada Index ETF (XAW $51.83)
    
        
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                Vanguard Growth ETF Portfolio (VGRO $42.74)
    
        
 
            Q: I hold these in an RESP with the following weighting (BIP 18%, Goog 18%  VGRO 23%, XAW 41%) and I am considering selling to purchase a 3 year GIC as my eldest child is approaching post-secondary education.
Which holding would you reduce?
Can you rank these holding in terms of risk?
Is there an alternative security other than a GIC that should be considered?
Thanks!
    Which holding would you reduce?
Can you rank these holding in terms of risk?
Is there an alternative security other than a GIC that should be considered?
Thanks!