40% VOO
15% SCHG
15% SPMO
10% GLDM
10% FDIG
5% IBIT
5% ETHA
I plan on holding for the next 35-45 years, what things might you guys tweak if this was your portfolio? Is there anything you’d add or reduce? My goal is aggressive growth that can rotate into the hottest sectors while having 80% equity and 20% speculative and hedging holdings.