I was looking at my retirement portfolio and running some statistics on where things stand. Here's my current breakdown:
Domestic Equity 62.7%
International Equity 24.7%
Bonds 9.4%
Cash Equivalents 2.2%
Gold 1.0%
Concentrations within my portfolio include the following:
Commodity Exposure 8.4%
Real Estate Exposure 8.2%
Emerging Markets Exposure 7.2%
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