Put quite a bit of $ into VWNEX, VWENX, VSMAX years ago without much thought.
Now I'm wondering if these 3 holdings are diversified enough for the long run or should I sell 1 of these (VWNEX or VWENX) and put the $ into something else.
Haven't done this before because I didn't want to get hit with capital gains tax, and figured that it's not worth paying out all that the money just for diversification (& perhaps one with a better return).