Q: Would you be kind enough to comment on my current allocation below. Does it make sense to sell some of my dogs in my overweight sectors and start to chip away at sectors where I have smaller allocations? If yes, could you give a few sector and company suggestions to buy? Please comment on my Cdn/US allocation as well and do I have too much cash. I have 25 stocks in my portfolio, spread across TFSA, RRSP, LIF, 20+ yrs before I need to access any of this money.
Consumer Discr - 7.6; Consumer Staples - 6.3; Energy - 3.1; Tech - 32.1; Matls - 1.7; Industrials - 3.1; Healthcare - 11.1; Financials - 19.6; cash - 15.5
Cdn - 56.3
US - 43.7
Thanks!
Consumer Discr - 7.6; Consumer Staples - 6.3; Energy - 3.1; Tech - 32.1; Matls - 1.7; Industrials - 3.1; Healthcare - 11.1; Financials - 19.6; cash - 15.5
Cdn - 56.3
US - 43.7
Thanks!