Wow, that's a lot in international and I thought I had a lot at 32%.
I did the RiskGrades and I think it comes out pretty good.
My risk is 87. Portfolio is Growth. Says that Diversification has reduced my risk by 7%. Dow risk is 90, S&P500 risk is 93, Nasdaq is 110.
My Risk vs Return graph shows ALL but 1, Blackrock Small Cap Index, as the returns being sufficient for the amount of risk. I'm above the S&P500.
I have a Risk Ranking of 3% versus the S&P500, in other words, 97% of the stocks in the S&P500 are riskier than my portfolio.
S&P500 = Minimum RiskGrade in the group: 63. Maximum RiskGrade in the group: 639. Average RiskGrade: 167.