what do you think of my portfolio, non US non EU based.
55% SPYL.L
15% EIMI.L
10% IGLN.L
10% [IXUA.DE](http://IXUA.DE)
10% USD Cash
I ***might*** need to liquidate 30% (so selling that 10% IXUA and maybe 10% from SPYL or some of gold, depends on how things go) of it in 6 weeks then reinvest most of it back after two weeks. but otherwise I'm holding for longer term.