Q: Currently own BAM.A and BIP.UN (From Enercare aquisition), I am quite comfortable with the two Brookfield companies combined percentage within portfolio.
After reviewing the sectors allocation, I am high on financial (BAM.A) and low on Energy, I plan to reduce BAM.A position (take profit) and move the proceed to BEP.UN in a registered account?
Goal is to maintain the same percentage of Brookfield companies in portfolio and balance the sectors better especially want to long renewable energy.
Do you agree with this move or have comment, concern, other suggestion ?
Thanks.
After reviewing the sectors allocation, I am high on financial (BAM.A) and low on Energy, I plan to reduce BAM.A position (take profit) and move the proceed to BEP.UN in a registered account?
Goal is to maintain the same percentage of Brookfield companies in portfolio and balance the sectors better especially want to long renewable energy.
Do you agree with this move or have comment, concern, other suggestion ?
Thanks.