Oh wise ones. Looking for recommendations on how to clean up my portfolio. Over reliant on the US I purchased during this down turn some
or the below but huge overlap..
Should I loose the SP500 and/or Nasdaq and which one to choose from the below :
$TDIV (+0.53%) (the most diversified option)
im also thinking of adding $EWSA (+0.02%) small cap world, but it is a small fund, max 5% allocation. Good, bad ?
Thank you!