This post features content from McLean & Partners, wealth management experts.
In 2011, there are three strong reasons for investors to review asset allocations with an eye to increasing global exposure:
- Canada’s valuations have risen faster than most of the rest of the world
- Some important sectors are hard to buy into in the Canadian market
- The continuing growth of the huge Asian middle class will drive global consumption for years to come.
Kevin Dehod shares what it meant by a two-tiered inflation scenario, and its impact on your portfolio.
For more details, facts and figures, you can download the complete pdf Outlook 2011 here.