Hello, I am planning my porfolio and Id like to hear everyone's opionion. This porfolio is meant for long term investment 10YR+ with monthly contriubitions
50% XEQT, 15% VFV and 15% XIC, 10% NLR, 10% NUKZ,
Am I too heavy on Canadian market?
Also, I am a big beliver that Nuclear Energy will have lots of growth in the future, thats why I picked those 2 ETFs
Thanks.