Q: My current financial sector weighting is 10% . Do you feel this is a good time to look at increasing it - up to 13-15%, perhaps.
If so, my current holdings are BNS,CXI,EFN,GS,SLF,TCN & CDZ. (very small positions in CXI, TCN & CDZ). I have room in both my TFSA & SDRSP. Would appreciate your thoughts on what current holdings, if any, I might increase,(and/or eliminate) Or, if there are new names you would consider adding ?
If so, my current holdings are BNS,CXI,EFN,GS,SLF,TCN & CDZ. (very small positions in CXI, TCN & CDZ). I have room in both my TFSA & SDRSP. Would appreciate your thoughts on what current holdings, if any, I might increase,(and/or eliminate) Or, if there are new names you would consider adding ?