Dear all,
I was wondering what you guys think of this portfolio. I'm trying to capture US, international, and some innovation/energy as well, as well as inflation hedges.
60% VT
20% dividends/consumer staples: SCHD/VYMI (some international as well)
10% commodities/inflation hedges: GLD, PDBC, PHO
10% thematic/innovation: NUKZ, ARKQ, ARKG, ICLN
Any feedback would be greatly appreciated. Feel free to also completely tarnish it. It's just hypothetical.