What are your thoughts on on either having XDIV or XIC be a majority position for the Canadian portion of my portfolio? Originally I was planning on allocating 5000 to XIC and 3000 to XDIV as XIC has much greater diversification. However, recently Iโve been liking XDIV more so Iโm thinking of doing it the other way. XDIV has outperformed the TSX for the last couple years in both returns and dividend growth. Much of this can be attributed to the crazy Canadian bank run but Iโd love to hear what you guys think.
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Jake Bird@dirtybirdy13 ยท 17h
Iโm in the same boat, I currently hold about 10% XDIV, but i also like the diversification of XIC. Why not just split the weighting equally between both and see how they perform over the span of one year? ๐คท๐ปโโ๏ธ i might do something similar myself ๐
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