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As a Canadian, at this point, my portfolio breakdown is

  • 13.4% CAD bonds,
  • 23.3% US equity
  • 17.3% CAD equity
  • 17.8% International equity (Both emerging and developed)
  • 25% Cash
  • 3% GOLD

Sold some profitable positions in recent months (after Trump's speech to congress) => that's why the cash. Waiting for a correction to buy back in. BTW I'm 32 ( hence the more aggressive equity position)



Submitted April 26, 2017 at 02:04PM by aegluc http://ift.tt/2q6FHTR

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