Q: Hello Peter & 5i team,
I have reduced my exposure to energy producers last fall to 5% of my portfolio (TOU,VET and WCP) and I'm not giving up the ghost, yet.
I had also reduced my exposure to pipelines and mid streams to 10% of my portfolio (ALA,ENB,IPL,KEY and PPL) and wish to reduce it to 5%. I could reduce the weight of each holding or keep only 3; which 3 do you suggest I keep?
Thanks,
Antoine
I have reduced my exposure to energy producers last fall to 5% of my portfolio (TOU,VET and WCP) and I'm not giving up the ghost, yet.
I had also reduced my exposure to pipelines and mid streams to 10% of my portfolio (ALA,ENB,IPL,KEY and PPL) and wish to reduce it to 5%. I could reduce the weight of each holding or keep only 3; which 3 do you suggest I keep?
Thanks,
Antoine