Quote Originally Posted by peat View Post
US 500 35.00%
Aus Top 20 15.00%
NZ Top 10 10.00%
Europe 10.00%
Asia Pac 5.00%
Emerging Mkts 2.00%
Total World 5.00%
Global Bond 3.00%
NZ Bond 5.00%
NZ Prop 5.00%
Aus prop 5.00%
100.00%
I would probably drop the bond and put more into property. And maybe a bit more focus on midcap that the ozzy 20 and NZ10 in those markets to give better diversification and to try and catch winners on the way up (they probably get losers on the way down to unfortunately).