Portfolio diversity going into 2018/19

  1. 245 Posts.
    I have been retired for about 5 years and have funds in a SMSF (68%) as well as an industry fund (32%). The investments have the following overall structure and have returned 8-9% pa over the last five years. I have another income stream so can afford to take a higher risk but not too high.

    Cash (term deposits and fixed interest funds) 33%
    Property funds 11%
    Infrastructure funds 5%
    Australian stocks (direct investment, managed funds) 17%
    International stocks (direct investment, ETFs, managed funds) 33%
    Other 2%

    I do this type of analysis several time a year and international investments are creeping up as they give a much better return. However, I am getting a little uncomfortable with the proportion in international markets, any thoughts?

    Cheers
    Stephen
 
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