The Motley Fool Discussion Boards
Learning to Invest / Investing Beginners
|Subject: Re: Portfolio Weighting||Date: 10/28/2012 3:26 AM|
|Author: Stevenjwallace||Number: 26244 of 28804|
I should give you some disclosure on my weightings to see where i might be going wrong. From Largest to smallest:
Ford (F) 27%
Goldcorp Inc (G.to) 16.5%
Corning Inc (GLW) 16%
Intel (INTC) 13%
Johnson & Johnson (JNJ) 10.5%
Waste Management (WM) 10.5%
Rosetta Stone (RST) 3.5%
Azure Dynamics (AZD) 3%
I have money in bonds in New Zealand but looking to take that out and put into a mutual fund at the end of the year. I am also 32 years old.
Does this like a diversified portfolio? Are there any sectors i should be in that i am not?
(Azure Dynamics is no longer trading so i'm locked into this worthless stock at the moment. I'll sell that position asap).
Thanks for any help
|Copyright 1996-2017 trademark and the "Fool" logo is a trademark of The Motley Fool, Inc. Contact Us|