img

Current Portfolio review - Anything that I should consider selling? (Shared my current SIPs desc/ratio in another post due to single image/post limitation, I've done 35k/70k/1L LTCG Profit harvesting in last 3 years)

img
img

FunnyBones

Plivo

a year ago

img

LokiMan

Gojek

a year ago

img

FunnyBones

Plivo

a year ago

See more comments
img

Referme

Amazon

a year ago

img

LokiMan

Gojek

a year ago

img

Referme

Amazon

a year ago

See more comments
img

TingTong

Kotak Mahindra Bank

a year ago

img

LokiMan

Gojek

a year ago

img

yogiji

Standard Chartered

a year ago

See more comments
img

LokiMan

Gojek

a year ago

See more comments
img

SupportStaff

Others

a year ago

img

Shilpi57

EY

a year ago

img

CorporateSlave999

Accenture

a year ago

img

1337C0d3r

Stealth

a year ago

img

Sharanzen

Unemployed

a year ago

img

SalluBhai

Healthy

a year ago

img

kachori

Airtel

a year ago

Sign in to a Grapevine account for the full experience.

Discover More

Curated from across

img

Personal Finance on

by MarkZuckerberg

Meta

Help gauge my portfolio

Hi all awesome people, I have been investing for 7 years now, since I started my job and below is the break down of my current SIPs: Category Fund Amount Small cap Nippon India Small Cap Fund 15000 ELSS Quant Tax Plan 7000 Flexi cap Parag Parikh Flexi Cap Fund 20000 Index ICICI Prudential Nifty Next 50 Index Fund 4000 Index Nippon India Nifty Midcap 150 Index Fund 3000 Index Nippon India ETF Nifty 50 BeES: Stock SIP 20000 Large & Mid cap Mirae Asset Emerging Bluechip Fund 11000 Multi cap Quant Active Fund 5000 Sector: Energy DSP Natural Resources & New Energy Fund 5000 Sector: Energy Tata Resources & Energy Fund 5000 Sector: Energy Nippon India Power & Infra Fund 5000 Global ICICI Prudential US Bluechip Equity 5000 Global Navi NASDAQ 100 Fund of Fund 3000 Global VOO-Vanguard S&P 500 ETF: Stock SIP 5000 Global VWO-Vanguard FTSE Emerging Markets ETF: Stock SIP 5000 Sector: Precious Metal Nippon India Gold Savings Fund 3000 Sector: Precious Metal Aditya Birla Sun Life Silver ETF 4000 Sector: Tech ICICI Prudential Technology Fund 5000 Value ICICI Prudential Value Discovery Fund Growth 8000 Total 138000 I had alot of diversification and had multiple active SIPs in same categories, I tried cutting them down based on some analysis. I have few questions: 1. Am I over diversified? I have mostly 1 active SIP now in each sector. 2. Few of categories like multi cap have negligible allocation, should I remove them or allocate more? 3. I am betting heavy on energy please help me decide 1 fund from above 3. 4. I have stopped SIP in a bunch of funds but DID NOT sell them. How do I rebalance existing funds, do I sell and rebuy and pay the tax and load or just keep it? I have other investments like emergency fund FD, liquid cash, gold and real estate. My only goal from MF is wealth creation and can with highly aggressive investment profile. Thanks in advance people.