I'm Canadian. Many model ETF portfolios I'm looking at hold about 30% Canadian, 30% US, and the rest between bonds and world markets.
My question is: Why do most portfolios put the majority of the holdings in your own country?
For example, as a Canadian why not have 30% China and %30 Japan. instead of of 30% Canadian and 30% US.
Submitted April 27, 2017 at 02:15PM by youngrubin http://ift.tt/2pqRxKx