Q: For sector allocation, I have the following:
Consumer Cyclical 27.21%
Consumer Defensive 11.67%
Energy 9.10%
Financials 10.07%
Healthcare 8.0%
Industrials 11.97%
Tech 21.98%
Is this too high in cyclicals, wherein I hold Boyd, Disney, CCL Industries and Starbucks, in roughly equal weightings.
If so, which sector should I rebalance into, to optimize what's happening in the market right now?
I'm working with all 5I-approved companies, so the worry is not about individual stocks, but the sectors as a whole.
Thanks as always.
(And thanks to Geoff for correcting my "dyslexic moment" yesterday on Concordia. Obviously, my morning coffee had not kicked in. Very red-faced member, here. : )
Consumer Cyclical 27.21%
Consumer Defensive 11.67%
Energy 9.10%
Financials 10.07%
Healthcare 8.0%
Industrials 11.97%
Tech 21.98%
Is this too high in cyclicals, wherein I hold Boyd, Disney, CCL Industries and Starbucks, in roughly equal weightings.
If so, which sector should I rebalance into, to optimize what's happening in the market right now?
I'm working with all 5I-approved companies, so the worry is not about individual stocks, but the sectors as a whole.
Thanks as always.
(And thanks to Geoff for correcting my "dyslexic moment" yesterday on Concordia. Obviously, my morning coffee had not kicked in. Very red-faced member, here. : )