I just ran a morningstar X-Ray on Parchayi and my investments now and the stocks are exactly 60/40 US/International. International investments are 48% in Asia (more than 2/3rds in India) and 34% Europe.
The portfolio is still heavily large cap weighted after I sold off all my stake in Panera Bread. I still haven’t reached my simplification goals to reduce the number of stocks and funds owned because I can’t decide what funds to dump.