Here's where my assets lie... what is something I'm not in that I should be?
ALLOCATION:TACTICAL ALLOCATION (3)
ALTERNATIVE:DIGITAL ASSETS
ENERGY:INTEGRATED OIL AND GAS
ENERGY:OIL AND GAS EXPLORATION AND PRODUCTION
ENERGY:OIL AND GAS STORAGE AND TRANSPORTATION (2)
FINANCIALS:ASSET MANAGEMENT AND CUSTODY BANKS
FINANCIALS:PROPERTY AND CASUALTY INSURANCE
INDUSTRIALS:CONSTRUCTION MACHINERY & HEAVY TRANSPORTATION EQUIPMENT
INDUSTRIALS:TRADING COMPANIES AND DISTRIBUTORS
INTERNATIONAL EQUITY:GLOBAL LARGE-STOCK BLEND
MATERIALS:COPPER
NONTRADITIONAL EQUITY:DERIVATIVE INCOME (8)
SECTOR EQUITY:COMMUNICATIONS
SECTOR EQUITY:ENERGY LIMITED PARTNERSHIP (6)
SECTOR EQUITY:EQUITY ENERGY
SECTOR EQUITY:FINANCIAL (3)
SECTOR EQUITY:INFRASTRUCTURE
SECTOR EQUITY:TECHNOLOGY (2)
TAXABLE BOND:BANK LOAN (4)
TAXABLE BOND:CORPORATE BOND
TAXABLE BOND:GLOBAL BOND
TAXABLE BOND:HIGH YIELD BOND (3)
TAXABLE BOND:INFLATION-PROTECTED BOND
TAXABLE BOND:INTERMEDIATE CORE BOND
TAXABLE BOND:INTERMEDIATE CORE-PLUS BOND
TAXABLE BOND:MULTISECTOR BOND (5)
TAXABLE BOND:PREFERRED STOCK
TAXABLE BOND:ULTRASHORT BOND
U.S. EQUITY:LARGE BLEND (4)
U.S. EQUITY:LARGE GROWTH (2)
U.S. EQUITY:LARGE VALUE (2)
U.S. EQUITY:MID-CAP GROWTH
I have some of the typical ETFs (VOO, QQQM, FDVV and FDMO) and more derivative stuff like TYLG and QYLD. Just wondering if there's a sector or asset class that I might be ignoring that I should be taking a look at. Thoughts?