I hold approx 60% of my portfolio currently heavily invested in oil/gas/gold/mining/and deep water exploration co's/financials with GS,V. 20% in big board tech, 5% in solar/green tech which has not worked out so well for me. I lost a bunch on ESLR/FCEL earlier this year after a failed green tech 'Obama bounce'I was hoping for...LOL. Should have played large cap solar!(kickin myself now). GLTY, holding this one LONG.