I have always heard as a general guideline that your portfolio should never exceed 25% of its capital in one sector, or around 10% in one stock.
My question is, what necessarily constitutes a "sector".
Is Energy (which can comprise of oil, natural gas, coal, uranium, etc) an industry or sector? Or are the types of energy I have in parenthesis the sectors?
Is Metals (which can comprise of Steel, Copper, Gold, Silver, etc) an industry or sector? Or are the types of metals I have in parenthesis the sectors?
I ask because I find myself lately being very heavy in commodities but am unsure on whether I am exposing myself to too many stocks that are in the same sector.
It seems that there is a gray area in this matter. Even some have told me that "commodities" which would include everything in Energy and Metals is a sector.
Any clarity that could be given would be great, thanks.
My question is, what necessarily constitutes a "sector".
Is Energy (which can comprise of oil, natural gas, coal, uranium, etc) an industry or sector? Or are the types of energy I have in parenthesis the sectors?
Is Metals (which can comprise of Steel, Copper, Gold, Silver, etc) an industry or sector? Or are the types of metals I have in parenthesis the sectors?
I ask because I find myself lately being very heavy in commodities but am unsure on whether I am exposing myself to too many stocks that are in the same sector.
It seems that there is a gray area in this matter. Even some have told me that "commodities" which would include everything in Energy and Metals is a sector.
Any clarity that could be given would be great, thanks.